定投美亨实业

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:美亨实业

总共投入:8.3万
现有资产:8.367万
定投月数:83月
每月第一天收盘投入,后复权收盘价买入
2019-03-19:收盘价:0.83
2026-01-02:收盘价:0.667
每月定投:1000
猜一猜,定投 美亨实业 (01897) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 美亨实业 ( 01897 ) ?
定投 美亨实业 记录列表
Id日期后复权收盘价总投入当日资产
12019-03-190.8310001000.00
22019-04-010.7720001927.71
32019-05-020.7330002827.57
42019-06-030.6640003556.43
52019-07-020.7150004825.86
62019-08-010.6860005621.95
72019-09-020.6270006125.90
82019-10-020.6580007422.31
92019-11-010.6890008764.88
102019-12-020.711000010151.56
112020-01-020.7921100012324.00
122020-02-030.7921200013324.00
132020-03-020.7821300014155.77
142020-04-010.6421400012621.49
152020-05-060.6521500013818.08
162020-06-010.6221600014182.28
172020-07-020.6321700015410.29
182020-08-030.5721800014947.29
192020-09-010.6421900017776.50
202020-10-070.6422000018776.50
212020-11-020.6722100020653.91
222020-12-010.7222200023190.66
232021-01-040.6582300022134.98
242021-02-010.6882400024144.17
252021-03-020.7182500026196.97
262021-04-010.9282600034859.04
272021-05-030.9182700035483.40
282021-06-010.8882800035323.81
292021-07-020.9242900037755.86
302021-08-030.9143000038347.24
312021-09-020.9143100039347.24
322021-10-060.9343200041208.23
332021-11-040.8943300040443.43
342021-12-010.863400039905.31
352022-01-030.93500042761.37
362022-02-040.923600044711.62
372022-03-010.923700045711.62
382022-04-010.773800039258.64
392022-05-030.733900038219.23
402022-06-010.714000038172.13
412022-07-040.7114100039225.89
422022-08-020.6214200035260.59
432022-09-080.6164300035976.69
442022-10-070.5814400034932.56
452022-11-020.5314500032926.31
462022-12-020.5994600038142.87
472023-01-040.5694700037232.54
482023-02-020.5994800040195.59
492023-03-030.6194900042537.68
502023-04-030.5995000042163.28
512023-05-020.5595100040347.70
522023-06-010.4895200036295.22
532023-07-040.5795300043975.32
542023-08-010.5565400043228.46
552023-09-050.5865500046560.93
562023-10-030.5565600045177.26
572023-11-020.5765700047802.35
582023-12-040.5195800044071.90
592024-01-080.5645900048893.17
602024-02-010.6046000053360.77
612024-03-010.6146100055244.23
622024-04-030.6146200056244.23
632024-05-070.5946300055412.17
642024-06-030.5696400054080.00
652024-07-020.5396500052228.69
662024-08-010.6316600062143.41
672024-09-030.5916700059204.05
682024-10-020.6166800062708.46
692024-11-010.6166900063708.46
702024-12-020.6317000066259.80
712025-01-060.6317100067259.80
722025-02-040.6367200068792.76
732025-03-030.6417300070333.58
742025-04-070.6317400070236.34
752025-05-060.6117500069010.14
762025-06-090.5967600068315.95
772025-07-020.6717700077912.76
782025-08-010.6397800075197.10
792025-09-010.6247900074431.91
802025-10-030.6698000080799.59
812025-11-030.6248100076364.64
822025-12-010.6378200078955.57
832026-01-020.6678300083674.04

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