Analysis and results
Read Projection balances and cash flow
Understand the deterministic year-by-year result and trace the inputs that create it.
When this applies
Use this to verify modeled timing and see one path under the selected assumptions.
Where to enter it
Simulation > Projection
How to enter it
- Read outcome cards and the balance chart by tax treatment.
- Use the compact cash-flow summary for key years and expand middle years when needed.
- Switch to Detailed for every projection column.
- Download the spreadsheet for the same calculated values.
How YARCalc uses it
- The annual pipeline adds income, contributions, growth, RMDs, benefits, spending, taxes, strategies, withdrawals, and end balances in a defined order.
- Ending balance alone is not a complete measure; inspect cash flow, taxes, spending, and funding failures.