定投Smith无约束债券

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:Smith无约束债券

总共投入:9.2万
现有资产:10.236万
定投月数:92月
每月第一天收盘投入,后复权收盘价买入
2018-06-05:收盘价:25.06
2026-01-02:收盘价:31.393
每月定投:1000
猜一猜,定投 Smith无约束债券 (UCON) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging Smith无约束债券 ( UCON ) ?
定投 Smith无约束债券 记录列表
Id日期后复权收盘价总投入当日资产
12018-06-0525.0610001000.00
22018-07-0625.12220002002.47
32018-08-0125.2230003010.29
42018-09-0425.32540004022.82
52018-10-0125.42550005038.70
62018-11-0125.31660006017.10
72018-12-0325.28570007009.73
82019-01-0225.39980008041.34
92019-02-0125.69490009134.73
102019-03-0125.811000010175.98
112019-04-0125.9931100011248.13
122019-05-0126.1821200012329.91
132019-06-0326.2571300013365.23
142019-07-0126.5971400014538.30
152019-08-0126.7531500015623.57
162019-09-0326.8831600016699.49
172019-10-0126.9081700017715.02
182019-11-0127.0131800018784.15
192019-12-0226.9881900019766.76
202020-01-0227.1212000020864.17
212020-02-0327.3612100022048.81
222020-03-0227.3762200023060.89
232020-04-0125.5162300022494.07
242020-05-0126.32400024185.22
252020-06-0127.0092500025837.21
262020-07-0127.5012600027307.87
272020-08-0327.9492700028752.72
282020-09-0128.1142800029922.47
292020-10-0128.0942900030901.18
302020-11-0228.083000031885.78
312020-12-0128.5893100033463.77
322021-01-0428.793200034699.04
332021-02-0128.9243300035860.54
342021-03-0128.8983400036828.31
352021-04-0128.8773500037801.54
362021-05-0328.9613600038911.51
372021-06-0129.0053700039970.62
382021-07-0129.0643800041051.93
392021-08-0229.1133900042121.14
402021-09-0129.1384000043157.31
412021-10-0129.1634100044194.34
422021-11-0129.0684200045050.37
432021-12-0128.9734300045903.14
442022-01-0329.074400047056.82
452022-02-0128.8954500047773.54
462022-03-0128.64600048285.80
472022-04-0128.3454700048855.28
482022-05-0227.864800049019.34
492022-06-0127.9584900050191.77
502022-07-0127.4585000050294.14
512022-08-0127.8785100052063.44
522022-09-0127.6435200052624.57
532022-10-0327.0485300052491.86
542022-11-0126.9135400053229.86
552022-12-0127.5985500055584.69
562023-01-0327.5735600056534.34
572023-02-0128.2135700058846.56
582023-03-0127.5535800058469.94
592023-04-0327.9785900060371.83
602023-05-0128.2636000061986.81
612023-06-0128.1886100062822.32
622023-07-0328.1136200063655.17
632023-08-0128.4286300065368.41
642023-09-0128.4986400066529.37
652023-10-0228.1286500066665.59
662023-11-0128.1586600067736.70
672023-12-0128.8986700070516.83
682024-01-0229.3186800072541.72
692024-02-0129.5886900074209.78
702024-03-0129.3887000074708.16
712024-04-0129.4487100075860.69
722024-05-0129.2687200076396.99
732024-06-0329.5787300078206.17
742024-07-0129.6287400079338.37
752024-08-0130.1687500081784.40
762024-09-0330.4587600083570.57
772024-10-0130.7037700085242.81
782024-11-0130.3087800085146.14
792024-12-0230.5837900086918.71
802025-01-0230.4988000087677.14
812025-02-0330.6138100089007.75
822025-03-0330.9888200091098.07
832025-04-0130.8888300091804.09
842025-05-0130.9288400092922.97
852025-06-0230.8888500093802.79
862025-07-0131.0988600095440.54
872025-08-0131.1688700096655.37
882025-09-0231.1538800097608.85
892025-10-0131.4588900099564.48
902025-11-0331.40890000100406.23
912025-12-0131.42891000101470.17
922026-01-0231.39392000102357.16

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