定投金鸿顺

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:金鸿顺

总共投入:10.0万
现有资产:12.054万
定投月数:100月
每月第一天收盘投入,后复权收盘价买入
2017-10-23:收盘价:25.26
2026-01-16:收盘价:25.77
每月定投:1000
猜一猜,定投 金鸿顺 (603922) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 金鸿顺 ( 603922 ) ?
定投 金鸿顺 记录列表
Id日期后复权收盘价总投入当日资产
12017-10-2325.2610001000.00
22017-11-0143.220002710.21
32017-12-0128.9930002818.73
42018-01-0228.1840003739.97
52018-02-0124.7250004280.77
62018-03-0123.4860005066.04
72018-04-0224.9870006389.68
82018-05-0223.0680006898.56
92018-06-0124.290008239.60
102018-07-0221.91100008459.90
112018-08-0119.64110008583.41
122018-09-0316.35120008145.55
132018-10-0815.54130008742.01
142018-11-0116.181400010102.04
152018-12-0318.281500012413.19
162019-01-0215.661600011634.05
172019-02-0116.261700013079.80
182019-03-0118.081800015543.84
192019-04-0123.331900021057.40
202019-05-0616.62000015982.98
212019-06-0315.842100016251.23
222019-07-0117.192200018636.27
232019-08-0117.252300019701.32
242019-09-0216.372400019696.27
252019-10-0816.162500020443.60
262019-11-0116.672600022088.79
272019-12-0215.182700021114.44
282020-01-0215.952800023185.47
292020-02-0314.252900021714.29
302020-03-0215.993000025365.72
312020-04-0115.953100026302.26
322020-05-0617.433200029742.85
332020-06-0118.183300032022.66
342020-07-0115.623400028513.42
352020-08-0318.673500035081.02
362020-09-0118.913600036531.98
372020-10-0918.393700036527.40
382020-11-0216.673800034111.03
392020-12-0118.743900039346.77
402021-01-0414.314000031045.48
412021-02-0115.44100034410.23
422021-03-0118.834200043074.33
432021-04-0117.024300039933.88
442021-05-0615.884400038259.11
452021-06-0115.614500038608.61
462021-07-0115.544600039435.48
472021-08-0216.834700043709.08
482021-09-0118.424800048838.46
492021-10-0819.674900053152.68
502021-11-0129.555000080850.62
512021-12-0124.785100068799.61
522022-01-0422.015200062108.94
532022-02-0719.835300056957.30
542022-03-0120.585400060111.51
552022-04-0127.725500081966.52
562022-05-0518.945600057004.54
572022-06-0122.585700068960.01
582022-07-0124.385800075457.27
592022-08-0123.865900074847.84
602022-09-0125.096000079706.30
612022-10-1025.366100081564.04
622022-11-0130.436200098870.42
632022-12-0125.876300085054.48
642023-01-0321.956400073166.44
652023-02-0123.646500079799.75
662023-03-0123.16600078976.92
672023-04-0323.246700080455.56
682023-05-0422.786800079863.07
692023-06-0123.196900082300.46
702023-07-0323.157000083158.51
712023-08-0122.617100082218.74
722023-09-0123.447200086236.94
732023-10-0924.057300089481.16
742023-11-0125.667400096471.38
752023-12-0126.8775000102020.50
762024-01-0226.476000101235.99
772024-02-0123.967700092879.33
782024-03-0125.067800098143.41
792024-04-0128.9679000114417.12
802024-05-0628.3380000112928.08
812024-06-0326.4381000106354.36
822024-07-0124.8182000100835.48
832024-08-0122.268300091471.49
842024-09-0221.98400090992.17
852024-10-0825.8485000108362.45
862024-11-0636.7686000155156.49
872024-12-0232.9187000139906.42
882025-01-0234.7888000148856.13
892025-02-0534.5989000149042.95
902025-03-0337.0490000160599.62
912025-04-0135.3591000154272.04
922025-05-0627.3892000120489.92
932025-06-0327.6493000122634.09
942025-07-0125.6294000114671.68
952025-08-0131.7295000142974.46
962025-09-0132.5496000147670.52
972025-10-0932.397000147581.37
982025-11-0329.0598000133731.86
992025-12-0128.4299000131831.65
1002026-01-1625.77100000120539.11

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