定投FLEX

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:FLEX

总共投入:8.0万
现有资产:18.981万
定投月数:80月
每月第一天收盘投入,后复权收盘价买入
2019-06-18:收盘价:11.45
2026-01-02:收盘价:38.845
每月定投:1000
猜一猜,定投 FLEX (FLNG) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging FLEX ( FLNG ) ?
定投 FLEX 记录列表
Id日期后复权收盘价总投入当日资产
12019-06-1811.4510001000.00
22019-07-0111.920002039.30
32019-08-0112.2530003099.28
42019-09-039.740003454.12
52019-10-019.70150004454.48
62019-11-0110.0560005614.73
72019-12-0210.0770006625.91
82020-01-0210.8180008112.82
92020-02-038.3990007296.63
102020-03-026.65100006783.38
112020-04-015.24110006345.10
122020-05-015.04120007102.92
132020-06-014.75130007694.22
142020-07-015.1140009261.16
152020-08-036.081500012040.76
162020-09-016.081600013040.76
172020-10-015.81700013440.20
182020-11-026.751800016641.61
192020-12-017.821900020279.61
202021-01-048.92000024080.38
212021-02-018.282100023402.87
222021-03-019.142200026833.60
232021-04-019.552300029037.30
242021-05-0312.692400039584.64
252021-06-0115.852500050441.81
262021-07-0115.62600050646.19
272021-08-0214.532700048172.38
282021-09-0116.272800054941.13
292021-10-0120.572900070461.53
302021-11-0121.613000075024.00
312021-12-0122.853100080328.94
322022-01-0324.253200086250.63
332022-02-0122.143300079745.93
342022-03-0126.193400095333.61
352022-04-0132.135000117846.46
362022-05-0231.2736000115799.34
372022-06-0131.4337000117391.85
382022-07-0130.6938000115627.93
392022-08-0135.3139000134034.29
402022-09-0136.4540000139361.65
412022-10-0336.8741000141967.46
422022-11-0136.6542000142120.35
432022-12-0142.7543000166774.77
442023-01-0336.2444000142378.19
452023-02-0137.0945000146717.63
462023-03-0141.1446000163738.29
472023-04-0339.6747000158887.66
482023-05-0140.6348000163732.68
492023-06-0137.4749000151998.36
502023-07-0337.9650000154986.07
512023-08-0139.0351000160354.75
522023-09-0138.7552000160204.37
532023-10-0237.2453000154961.56
542023-11-0138.8154000162494.58
552023-12-0138.24555000161128.97
562024-01-0238.94556000165078.12
572024-02-0138.84557000165654.25
582024-03-0135.08558000150619.75
592024-04-0135.35559000152778.86
602024-05-0135.76560000155550.59
612024-06-0338.27561000167467.18
622024-07-0137.41562000164704.36
632024-08-0136.95563000163679.40
642024-09-0337.29564000166185.31
652024-10-0136.71565000164600.85
662024-11-0135.41566000159772.69
672024-12-0235.47567000161043.37
682025-01-0236.20568000165357.30
692025-02-0337.64569000172934.14
702025-03-0334.32570000158682.68
712025-04-0135.36571000164490.54
722025-05-0136.33572000170002.23
732025-06-0237.04573000174324.14
742025-07-0135.31574000167183.21
752025-08-0138.41575000182858.79
762025-09-0240.14576000192093.74
772025-10-0139.78577000191371.14
782025-11-0340.09578000193862.28
792025-12-0139.36579000191332.68
802026-01-0238.84580000189805.23

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