定投光伏ETF指数基金

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:光伏ETF指数基金

总共投入:4.6万
现有资产:5.038万
定投月数:46月
每月第一天收盘投入,后复权收盘价买入
2022-04-22:收盘价:0.943
2026-01-16:收盘价:0.833
每月定投:1000
猜一猜,定投 光伏ETF指数基金 (159618) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 光伏ETF指数基金 ( 159618 ) ?
定投 光伏ETF指数基金 记录列表
Id日期后复权收盘价总投入当日资产
12022-04-220.94310001000.00
22022-05-050.99220002051.96
32022-06-011.13130003339.48
42022-07-011.35940005012.70
52022-08-011.41250006208.19
62022-09-011.28860006662.99
72022-10-101.16670007031.87
82022-11-011.2380008417.84
92022-12-011.17590009041.43
102023-01-031.118100009602.83
112023-02-011.2111100011401.63
122023-03-011.1461200011789.65
132023-04-031.0851300012162.11
142023-05-041.0151400012377.45
152023-06-010.9371500012426.28
162023-07-030.9961600014208.72
172023-08-010.931700014267.18
182023-09-010.841800013886.49
192023-10-090.8051900014307.88
202023-11-010.7262000013903.76
212023-12-010.6912100014233.46
222024-01-020.72200015418.85
232024-02-010.6172300014590.61
242024-03-010.6852400017198.66
252024-04-010.6932500018399.52
262024-05-060.6452600018125.09
272024-06-030.6312700018731.68
282024-07-010.5492800017297.45
292024-08-010.5442900018139.91
302024-09-020.523000018339.62
312024-10-080.7243100026534.40
322024-11-010.6983200026581.51
332024-12-020.6693300026477.12
342025-01-020.5883400024271.37
352025-02-050.573500024528.37
362025-03-030.5973600026690.24
372025-04-010.5753700026706.68
382025-05-060.5223800025245.02
392025-06-030.5073900025519.59
402025-07-010.5344000027878.62
412025-08-010.5794100031227.94
422025-09-010.6624200036704.48
432025-10-090.7764300044025.20
442025-11-030.8164400047294.54
452025-12-010.7594500044990.87
462026-01-160.8334600050377.34

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