Break-Even Analysis

Probability distribution of break-even timing rather than a single point estimate.

Break-Even Under Uncertainty

For each Monte Carlo iteration, we calculate the month where cumulative revenue exceeds cumulative costs. The result is not a single break-even point but a probability distribution.

Output includes median break-even month, 25th/75th percentile range, and the probability of reaching break-even within 12, 24, and 36 months.