定投景业名邦集团

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:景业名邦集团

总共投入:7.2万
现有资产:2.070万
定投月数:72月
每月第一天收盘投入,后复权收盘价买入
2019-12-05:收盘价:3.23
2026-01-02:收盘价:0.356
每月定投:1000
猜一猜,定投 景业名邦集团 (02231) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 景业名邦集团 ( 02231 ) ?
定投 景业名邦集团 记录列表
Id日期后复权收盘价总投入当日资产
12019-12-053.2310001000.00
22020-01-023.1720001981.42
32020-02-033.0630002912.67
42020-03-023.140003950.74
52020-04-012.9350004734.09
62020-05-04360005847.19
72020-06-013.24270007318.86
82020-07-023.27280008386.59
92020-08-033.10290008950.85
102020-09-013.2221000010297.12
112020-10-053.2821100011488.87
122020-11-023.2021200012208.82
132020-12-013.1221300012903.79
142021-01-043.0621400013655.80
152021-02-013.1821500015190.97
162021-03-013.2421600016477.42
172021-04-013.3221700017884.02
182021-05-033.2821800018668.67
192021-06-013.2821900019668.67
202021-07-023.3922000021327.89
212021-08-023.3222100021887.75
222021-09-013.3222200022887.75
232021-10-043.1362300022606.26
242021-11-013.1262400023534.17
252021-12-012.8662500022576.76
262022-01-032.6562600021922.49
272022-02-042.8362700024408.20
282022-03-012.8562800025580.34
292022-04-042.4162900022639.39
302022-05-032.4063000023545.68
312022-06-012.0163100020729.05
322022-07-041.9173200020711.11
332022-08-011.6973300019334.24
342022-09-011.6973400020334.24
352022-10-031.6573500020854.95
362022-11-011.4573600019337.75
372022-12-021.5773700021930.43
382023-01-101.5373800022374.17
392023-02-011.6373900024829.88
402023-03-011.5774000024919.80
412023-04-061.5374100025287.72
422023-05-021.5474200026452.25
432023-06-011.5074300026768.28
442023-07-061.4774400027235.41
452023-08-011.4874500028419.80
462023-09-121.5274600030184.29
472023-10-031.4374700029405.25
482023-11-021.4374800030405.25
492023-12-061.4374900031405.25
502024-01-021.3275000030001.23
512024-02-151.2675100029644.73
522024-03-191.1775200028538.95
532024-05-031.2575300031478.73
542024-06-061.1775400030475.31
552024-07-121.1375500030439.61
562024-08-071.1175600030904.18
572024-09-021.0775700030797.49
582024-10-020.7425800022217.96
592024-11-040.6275900019774.47
602024-12-160.5776000019197.56
612025-02-050.5236100018400.91
622025-03-180.5626200020773.06
632025-04-290.5976300023066.76
642025-05-070.5576400022521.25
652025-06-050.4776500020286.60
662025-07-020.4366600019542.88
672025-08-010.5926700027535.29
682025-09-010.4596800022349.15
692025-10-020.466900023397.85
702025-11-030.4597000024346.98
712025-12-010.4377100024180.02
722026-01-020.3567200020698.14

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