定投冠轈控股

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:冠轈控股

总共投入:8.4万
现有资产:99.273万
定投月数:84月
每月第一天收盘投入,后复权收盘价买入
2019-02-28:收盘价:0.63
2026-01-02:收盘价:1.885
每月定投:1000
猜一猜,定投 冠轈控股 (01872) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 冠轈控股 ( 01872 ) ?
定投 冠轈控股 记录列表
Id日期后复权收盘价总投入当日资产
12019-02-280.6310001000.00
22019-03-011.5720003492.06
32019-04-011.3830004069.46
42019-05-021.5940005688.72
52019-06-031.750007082.28
62019-07-021.560007249.07
72019-08-012.4700012598.52
82019-09-020.4580003362.22
92019-10-020.34590003577.70
102019-11-010.35100004629.55
112019-12-020.275110004637.51
122020-01-020.24120005047.28
132020-02-030.206130005332.25
142020-03-020.2140006176.94
152020-04-010.151150005663.59
162020-05-040.14160006251.01
172020-06-010.122170006447.31
182020-07-020.13180007870.08
192020-08-030.12190008264.69
202020-09-010.122200009402.44
212020-10-050.114210009785.88
222020-11-020.1152200010871.72
232020-12-010.1112300011493.58
242021-01-040.2142400023158.79
252021-02-010.1612500018423.20
262021-03-010.1592600019194.34
272021-04-010.1522700019349.31
282021-05-030.1522800020349.31
292021-06-010.1522900021349.31
302021-07-020.163000023472.96
312021-08-020.1583100024179.54
322021-09-010.1813200028699.35
332021-10-040.173300027955.19
342021-11-010.1993400033724.02
352021-12-010.1983500034554.55
362022-01-030.1773600031889.67
372022-02-040.1853700034331.02
382022-03-010.1843800035145.44
392022-04-010.183900035381.41
402022-05-030.184000036381.41
412022-06-010.1854100038392.01
422022-07-040.1734200036901.71
432022-08-020.1614300035342.06
442022-09-010.1584400035683.51
452022-10-050.1324500030811.54
462022-11-010.1314600031578.12
472022-12-010.1374700034024.44
482023-01-090.1564800039743.16
492023-02-010.1454900037940.76
502023-03-060.1425000038155.78
512023-04-030.1195100032975.62
522023-05-020.15200028710.60
532023-06-010.0765300022820.06
542023-07-030.0725400022619.00
552023-08-010.0675500022048.24
562023-09-070.0775600026339.02
572023-10-030.0725700025628.69
582023-11-060.075800025916.79
592023-12-010.075900026916.79
602024-01-030.0626000024840.58
612024-02-050.0646100026641.89
622024-03-010.0816200034718.64
632024-04-020.0766300033575.52
642024-05-020.0776400035017.30
652024-06-110.076500032833.91
662024-07-020.0436600021169.40
672024-08-010.0926700046292.67
682024-09-030.096800046286.31
692024-10-020.1286900066829.42
702024-11-01-0.9470000-489778.55
712024-12-02-1.1571000-598197.17
722025-01-02-1.0772000-555583.45
732025-02-03-1.24573000-645449.90
742025-03-03-1.2574000-647042.07
752025-04-01-0.63575000-327697.37
762025-05-02-0.61576000-316376.19
772025-06-020.4177000211917.46
782025-07-020.66578000344719.79
792025-08-010.32579000169472.08
802025-09-010.46580000243475.43
812025-10-020.94581000495804.91
822025-11-031.482000735525.80
832025-12-011.34583000707630.14
842026-01-021.88584000992734.43

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