定投益美国际控股

总投入

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总资产

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盈亏比例

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盈亏

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总股数

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日期

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后复权收盘价

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峰值资产

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后复权每月定投

1000

每月定投:益美国际控股

总共投入:7.5万
现有资产:7.630万
定投月数:75月
每月第一天收盘投入,后复权收盘价买入
2019-11-08:收盘价:1.42
2026-01-02:收盘价:0.54
每月定投:1000
猜一猜,定投 益美国际控股 (01870) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 益美国际控股 ( 01870 ) ?
定投 益美国际控股 记录列表
Id日期后复权收盘价总投入当日资产
12019-11-081.4210001000.00
22019-12-022.4620002732.39
32020-01-020.6930001766.40
42020-02-030.3340001844.80
52020-03-020.4550003515.64
62020-04-010.3660003812.51
72020-05-040.3570004706.61
82020-06-010.30580005101.47
92020-07-020.33590006603.26
102020-08-030.29100006716.25
112020-09-010.275110007368.86
122020-10-050.249120007672.17
132020-11-020.21130007470.50
142020-12-010.25140009893.46
152021-01-040.22150009706.24
162021-02-010.2341600011323.91
172021-03-010.2261700011936.77
182021-04-010.2061800011880.42
192021-05-030.211900013111.11
202021-06-010.2062000013861.37
212021-07-020.2392100017081.88
222021-08-020.312200023156.41
232021-09-010.682300051794.71
242021-10-041.182400090879.06
252021-11-011.192500092649.22
262021-12-011.162600091313.53
272022-01-031.7927000141906.22
282022-02-041.222800097718.21
292022-03-011.092900088305.61
302022-04-011.2430000101457.76
312022-05-031.113100091821.06
322022-06-011.083200090339.41
332022-07-041.143300096358.27
342022-08-011.073400091441.53
352022-09-011.3135000112951.78
362022-10-031.2436000107916.19
372022-11-011.1937000104564.73
382022-12-011.1738000103807.34
392023-01-031.1439000102145.61
402023-02-011.1340000102249.60
412023-03-011.074100097820.42
422023-04-031.2242000112533.56
432023-05-021.243000111688.75
442023-06-011.0844000101519.87
452023-07-031.1145000105339.87
462023-08-011.044600099696.81
472023-09-041.0447000100696.81
482023-10-031.0848000105569.77
492023-11-011.5549000152512.17
502023-12-011.7450000172207.21
512024-01-021.7351000172217.51
522024-02-011.7152000171226.56
532024-03-011.7253000173227.88
542024-04-021.8654000188327.82
552024-05-022.0355000206540.58
562024-06-032.0956000213645.23
572024-07-022.0457000209534.10
582024-08-011.9458000200262.82
592024-09-022.159000217779.34
602024-10-02260000208408.90
612024-11-011.8161000189610.05
622024-12-021.6462000172801.37
632025-01-021.8563000195928.38
642025-02-031.7164000182101.37
652025-03-031.5465000164997.72
662025-04-010.1816600020392.59
672025-05-020.266700030293.22
682025-06-020.2586800031060.20
692025-07-020.246900029893.21
702025-08-010.2387000030644.10
712025-09-010.337100043489.71
722025-10-020.2957200039877.17
732025-11-030.4557300062505.46
742025-12-010.4857400067626.70
752026-01-020.547500076295.71

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