BUX (Hungary) Forecast to 2030

Scenario-based educational forecast using historical performance, volatility, and model assumptions.

  • Indexes
  • Horizon: 2030
  • Educational only
  • Updated July 2026

Quick answer

The realistic scenario shows BUX (Hungary) at about $104,358.67 by 2030 under stated assumptions—not a forecast or guarantee.

That works out to roughly 9.8% annual growth.

The bear-to-bull band runs roughly $79,998.16 to $120,500.16 by 2030—scenario estimates, not promises.

What this means

  • A wide band means small input changes can shift the story—treat the midpoint as one anchor, not certainty.
  • Useful for comparing market-wide outlooks across tools on the site, not for timing entries.
  • Use this as a range framework, not a precise price target.

Select bear, base, or bull case below to update the summary.

What drives this forecast

BUX (Hungary) is shaped by macro conditions and asset-specific fundamentals. Related pressures include liquidity and broad market sentiment. This view uses scenario-based growth assumptions through 2030 rather than a single price path. Recent levels near $52,854.65 anchor the scenario math to today’s baseline. The scenarios span conservative to optimistic paths; a key stress to keep in mind is unexpected macro shocks, policy changes, and liquidity events. A defining feature is its own risk and return profile within its asset class.

Last updated: July 2026

Scenario estimate

Forecast summary

Base case
Current / latest price $52,854.65 Scenario estimate baseline
Estimated 2030 price $104,358.67 Selected scenario estimate
Expected annual return 9.82% Selected scenario estimate
2030 scenario range $79,998.16 $120,500.16 Bear → Bull
Risk / uncertainty Medium uncertainty Based on historical drawdown
Total return to 2030: +97.4% Max drawdown (historical): -36.3%

How to use this forecast

  • Compare bear, base, and bull cases to see how assumptions change the 2030 scenario estimate.
  • Check the uncertainty label and historical drawdown context before treating any path as likely.
  • Review historical performance and category drivers alongside the model range.
  • Use the ROI calculator for custom entry and exit dates—not just the default horizon.
  • Remember these are scenario estimates for learning—not promises about future prices.

Scenario comparison

Three scenario estimates to 2030. Values are model outputs, not guaranteed paths.

Bear case

$79,998.16

Expected annual return 5.89%

Total return estimate +51.4%

Lower path if earnings, breadth, or macro conditions weaken broad market returns.

Base case

$104,358.67

Expected annual return 9.82%

Total return estimate +97.4%

Central scenario reflecting aggregate earnings and historical index behavior.

Bull case

$120,500.16

Expected annual return 12.00%

Total return estimate +128.0%

Higher path if earnings growth and risk appetite support multiple expansion.

Forecast chart to 2030

Chart shows scenario ranges over time. It is a model estimate, not a guaranteed path.

Year-by-year forecast table

Scenario estimates by year. Base-case annual return shown for context—actual paths can differ.

YearBear caseBase caseBull caseBase annual return
2026 $68,440.10 $80,726.12 $88,250.73 9.82%
2027 $71,465.71 $86,674.03 $96,193.30 9.82%
2028 $74,414.45 $92,634.45 $104,273.53 9.82%
2029 $77,265.54 $98,549.73 $112,406.87 9.82%
2030 $79,998.16 $104,358.67 $120,500.16 9.82%

What drives this forecast?

Core variables that can shift BUX (Hungary) scenario estimates away from the base case.

Historical performance

Weighted return windows (3Y, 5Y, 10Y where available) anchor the base scenario estimate for BUX (Hungary).

Volatility and drawdown

Past drawdowns near 36.3% inform how wide bear and bull model bands are set versus history.

Market cycle assumptions

Market cycle phases affect how optimistic or conservative scenario rates are calibrated.

Category-specific factors

Market breadth, aggregate earnings, sector weightings, and macro trends shape index scenario ranges.

How this forecast works

Historical return context

Weighted return windows (3Y, 5Y, 10Y where available) provide the starting point for scenario rates—not a promise of future returns.

Volatility adjustment

Drawdown history and volatility inform how far bear and bull paths deviate from the base scenario estimate.

Scenario model

Three paths (bear, base, bull) compound from the latest price through 2030 using scenario-specific annual rates.

Educational limitation

These are illustrative model outputs for learning and comparison. Actual market paths can differ materially.

Scenario narratives

Bull case

What could support upside

Earnings surprise to the upside, valuation multiples expand, and macro conditions remain supportive.

Base case

What the model assumes

Growth tracks long-run averages, volatility is normal, and no major regime break appears.

Bear case

What could pressure the asset

Earnings disappoint, multiples compress, and tighter financial conditions trigger a prolonged drawdown phase.

Comparison to benchmark

Benchmark: S&P 500 (SPX) · S&P 500 forecast

Expected return (realistic)
BUX (Hungary)9.82%
S&P 5009.96%
Historical max drawdown
BUX (Hungary)-36.3%
S&P 500-33.9%

The realistic expected annual return is close to the S&P 500 (SPX) benchmark, while historical drawdowns can still differ materially. This asset’s historical max drawdown is higher than the benchmark, suggesting deeper peak-to-trough depth in the data window used.

Verdict BUX (Hungary) offers a similar base-case return direction to S&P 500 (SPX), with deeper historical drawdowns (higher volatility risk).

Explore BUX (Hungary) across CalculatorInvest

Forecast, calculators, scenarios, and comparisons.

BUX (Hungary) Forecast for 2026 and 2030

In plain terms, this section restates what the model is showing on one page: a base-case 2030 value around $104,358.67 an expected annual return near 9.82% a scenario range of $79,998.16 → $120,500.16 You can compare the same scenario structure against S&P 500 (SPX) on its forecast page.

BUX (Hungary) (BUX) is influenced by earnings growth, sector composition, valuation multiples, and macro regime shifts. The numbers above are scenario-based and illustrative—markets can diverge from any modeled band, and this is not financial advice.

Use the yearly table and scenario chart as a framework for comparing upside and downside, not as a promise about where price will land on a given date.

Benchmark context is available in the S&P 500 (SPX) forecast.

Related category view: AEX (Netherlands) forecast.

Long-term outlook beyond 2030

What could BUX (Hungary) look like by 2040?

Uncertainty increases materially beyond 2030, so any 2040 discussion should be treated as directional rather than precise.

For BUX (Hungary), longer-term outcomes depend on long-term earnings power, composition shifts, valuation resets, and macro regime transitions. Small changes in assumptions can produce meaningfully different paths over very long horizons.

A practical approach is to use the 2030 scenario range as a base reference, then stress-test broader long-term possibilities instead of relying on a single 2040 number.

Forecasts are scenario-based educational estimates. They are not financial advice, investment recommendations, or guarantees of future performance.

Frequently asked questions

What is the BUX (Hungary) forecast for 2030?

This page shows bear, base, and bull scenario estimates for BUX (Hungary) through 2030—a model range, not a single target price or guarantee.

Is this forecast guaranteed?

No. Forecasts are scenario-based educational estimates. Actual prices and returns can differ materially from any modeled path.

What could make BUX (Hungary) perform better than expected?

Stronger demand, favorable policy, improving fundamentals, lower volatility, or supportive macro conditions could push outcomes toward the bull case—not a prediction.

What could make BUX (Hungary) perform worse than expected?

Weaker growth, valuation compression, liquidity stress, adverse regulation, or macro shocks could pressure outcomes toward the bear case.

How often is this forecast updated?

Figures refresh when underlying price history is updated—currently shown as July 2026. Revisit the page for the latest scenario inputs.

Can I compare BUX (Hungary) with another asset?

Yes. Use the comparison chips on this page, the compare tool, or open related forecast cards to review scenario estimates side by side.

Is this financial advice?

No. This is educational scenario context only—not investment advice, a recommendation to buy or sell, or a guarantee of future performance.