定投康特隆

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:康特隆

总共投入:7.9万
现有资产:7.551万
定投月数:79月
每月第一天收盘投入,后复权收盘价买入
2019-07-16:收盘价:0.69
2026-01-02:收盘价:0.097
每月定投:1000
猜一猜,定投 康特隆 (01912) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 康特隆 ( 01912 ) ?
定投 康特隆 记录列表
Id日期后复权收盘价总投入当日资产
12019-07-160.6910001000.00
22019-08-010.8720002260.87
32019-09-021.2830004326.34
42019-10-021.5240006137.52
52019-11-011.2450006006.93
62019-12-021.5660008557.10
72020-01-021.99700011915.79
82020-02-032.82800017885.70
92020-03-023.01900020090.76
102020-04-013.151000022025.21
112020-05-043.081100022535.76
122020-06-013.041200023243.09
132020-07-023.431300027224.94
142020-08-030.305140003420.88
152020-09-010.39150005374.24
162020-10-050.225160004100.52
172020-11-020.223170005064.07
182020-12-010.218180005950.53
192021-01-040.204190006568.38
202021-02-010.236200008598.72
212021-03-010.322100012659.28
222021-04-010.2752200011879.07
232021-05-030.32300013958.98
242021-06-010.272400013563.08
252021-07-020.3052500016321.26
262021-08-020.292600016518.58
272021-09-010.272700016379.36
282021-10-040.2062800013496.85
292021-11-010.2212900015479.63
302021-12-010.2123000015849.24
312022-01-030.1953100015578.31
322022-02-070.1843200015699.53
332022-03-010.1653300015078.38
342022-04-010.1413400013885.16
352022-05-030.1413500014885.16
362022-06-010.1293600014618.34
372022-07-050.1483700017771.43
382022-08-010.1363800017330.50
392022-09-010.1353900018203.07
402022-10-030.1144000016371.48
412022-11-010.094100013924.86
422022-12-010.074200011830.44
432023-01-030.0764300013844.48
442023-02-010.0884400017030.45
452023-03-010.094500018417.51
462023-04-030.0714600015529.37
472023-05-030.0734700016966.81
482023-06-010.0564800014015.64
492023-07-040.0634900016767.59
502023-08-010.0565000015904.53
512023-09-040.0415100012644.39
522023-10-050.0425200013952.79
532023-11-070.0385300013623.95
542023-12-040.0275400010680.17
552024-01-020.0435500018009.17
562024-02-050.0255600011470.45
572024-03-010.0565700026693.80
582024-04-020.0355800017683.62
592024-05-020.0315900016662.64
602024-06-030.0386000021425.17
612024-07-020.1196100068094.61
622024-08-050.0736200042772.32
632024-09-020.0456300027366.50
642024-10-020.0576400035664.23
652024-11-010.1476500092976.18
662024-12-020.1156600073736.47
672025-01-020.1396700090124.95
682025-02-030.136800085289.52
692025-03-030.1166900077104.50
702025-04-010.0947000063481.23
712025-05-020.0877100059753.90
722025-06-020.087200055946.12
732025-07-020.0887300062540.73
742025-08-010.0857400061408.66
752025-09-010.0847500061686.21
762025-10-020.0947600070029.80
772025-11-030.087700060599.83
782025-12-050.0947800072204.80
792026-01-020.0977900075509.21

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