定投彼岸控股

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:彼岸控股

总共投入:8.5万
现有资产:19.774万
定投月数:85月
每月第一天收盘投入,后复权收盘价买入
2019-01-11:收盘价:0.93
2026-01-02:收盘价:1.032
每月定投:1000
猜一猜,定投 彼岸控股 (02885) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 彼岸控股 ( 02885 ) ?
定投 彼岸控股 记录列表
Id日期后复权收盘价总投入当日资产
12019-01-110.9310001000.00
22019-02-010.7520001806.45
32019-03-010.6330002517.42
42019-04-010.6140003437.50
52019-05-020.49550003789.45
62019-06-030.4460004368.40
72019-07-020.39570004921.63
82019-08-010.40580006046.23
92019-09-020.36590006449.07
102019-10-020.38100007714.10
112019-11-010.385110008815.60
122019-12-020.36120009243.16
132020-01-020.411300011526.93
142020-02-030.4351400013229.79
152020-03-030.431500014077.73
162020-04-010.41600014095.56
172020-05-040.331700012628.84
182020-06-020.3051800012672.11
192020-07-020.3551900015749.50
202020-08-030.382000017858.62
212020-09-010.352100017448.73
222020-10-050.3152200016703.86
232020-11-030.322300017969.00
242020-12-010.342400020092.06
252021-01-040.352500021683.00
262021-02-010.332600021443.97
272021-03-010.4152700027967.42
282021-04-010.432800029978.29
292021-05-030.422900030281.12
302021-06-010.4153000030920.63
312021-07-020.4443100034081.35
322021-08-020.4143200032778.56
332021-09-020.4043300032986.81
342021-10-040.3993400033578.55
352021-11-010.4143500035840.91
362021-12-010.5093600045065.27
372022-01-030.4443700040310.37
382022-02-040.4193800039040.64
392022-03-010.3993900038177.13
402022-04-010.4144000040612.36
412022-05-030.4044100040631.38
422022-06-010.4144200042637.11
432022-07-050.4174300043946.08
442022-08-030.4074400043892.21
452022-09-010.4024500044353.00
462022-10-050.3974600044801.34
472022-11-010.3174700036773.36
482022-12-020.3374800040093.45
492023-01-030.3824900046447.17
502023-02-020.3925000048663.07
512023-03-010.3775100047800.96
522023-04-030.3725200048167.00
532023-05-020.3675300048519.59
542023-06-020.3725400050180.62
552023-07-030.4115500056441.49
562023-08-010.4015600056068.22
572023-09-040.3815700054271.80
582023-10-030.3865800055984.03
592023-11-010.3915900057709.21
602023-12-010.546000080700.70
612024-01-030.5356100080953.47
622024-02-010.5016200076808.76
632024-03-050.4816300074742.55
642024-04-020.5116400080404.24
652024-05-020.4416500070389.96
662024-06-030.4966600080168.76
672024-07-020.4586700075026.80
682024-08-020.4786800079303.07
692024-09-020.4836900081132.61
702024-10-020.5577000094562.86
712024-11-010.5137100088092.90
722024-12-030.4937200085658.48
732025-01-020.4737300083183.49
742025-02-030.5537400098252.58
752025-03-030.5487500098364.22
762025-04-010.72776000131494.14
772025-05-020.75777000137920.31
782025-06-020.69778000127988.71
792025-07-030.75879000140190.02
802025-08-010.78880000146738.44
812025-09-010.89881000168222.23
822025-10-020.91282000171844.85
832025-11-030.90283000170960.59
842025-12-010.90284000171960.59
852026-01-021.03285000197744.26

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