定投晋景新能

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:晋景新能

总共投入:8.8万
现有资产:177.060万
定投月数:88月
每月第一天收盘投入,后复权收盘价买入
2018-08-22:收盘价:0.49
2025-11-03:收盘价:6.6
每月定投:1000
猜一猜,定投 晋景新能 (01783) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 晋景新能 ( 01783 ) ?
定投 晋景新能 记录列表
Id日期后复权收盘价总投入当日资产
12018-08-220.4910001000.00
22018-09-030.36520001744.90
32018-10-020.29530002410.26
42018-11-010.2640003124.30
52018-12-030.2850004364.63
62019-01-020.2660005052.87
72019-02-010.25570005955.70
82019-03-010.24880006792.21
92019-04-010.2890008668.62
102019-05-020.27100009359.03
112019-06-030.242110009388.46
122019-07-020.215120009340.99
132019-08-010.188130009167.93
142019-09-020.191400010265.47
152019-10-030.2141500012562.16
162019-11-010.1871600011977.21
172019-12-030.1971700013617.70
182020-01-020.191800014133.83
192020-02-030.1591900012827.78
202020-03-020.1412000012375.58
212020-04-020.1242100011883.49
222020-05-060.1062200011158.47
232020-06-010.0992300011421.59
242020-07-020.1132400014036.76
252020-08-030.1272500016775.83
262020-09-010.1442600020021.41
272020-10-070.1352700019770.07
282020-11-020.1292800019891.40
292020-12-010.132900021045.60
302021-01-070.1553000026092.83
312021-02-010.1353100023726.01
322021-03-020.173200030877.20
332021-04-010.273300050040.26
342021-05-030.33400056600.29
352021-06-010.33500057600.29
362021-07-020.3253600063400.32
372021-08-020.343700067326.48
382021-09-020.3553800071296.77
392021-10-040.323900065267.51
402021-11-010.354000072386.34
412021-12-010.2534100053324.98
422022-01-030.1414200030718.67
432022-02-040.2514300055683.58
442022-03-010.374400083083.37
452022-04-010.5345000120011.31
462022-05-030.47546000108557.31
472022-06-010.5547000126697.94
482022-07-040.5248000120787.14
492022-08-010.4549000105527.33
502022-09-010.44550000105354.81
512022-10-030.5951000140683.90
522022-11-010.552000120223.65
532022-12-010.6453000154886.27
542023-01-030.5554000134105.38
552023-02-010.5955000144858.50
562023-03-010.5956000145858.50
572023-04-030.5357000132025.44
582023-05-020.558000125552.30
592023-06-010.4359000108974.98
602023-07-030.4360000109974.98
612023-08-010.366100093072.07
622023-09-040.6462000166461.46
632023-10-030.6263000162259.54
642023-11-010.7564000197281.70
652023-12-011.4265000374520.03
662024-01-022.3166000610254.41
672024-02-012.0567000542567.77
682024-03-013.2568000861168.41
692024-04-023.4369000909863.89
702024-05-023.81700001011665.14
712024-06-035.14710001365818.59
722024-07-024.87720001295073.25
732024-08-014.54730001208316.75
742024-09-025.91740001573940.96
752024-10-025.75750001532330.04
762024-11-015.66760001509345.75
772024-12-025.8770001547679.39
782025-01-027.66780002045004.15
792025-02-037.11790001899169.65
802025-03-038.15800002177966.62
812025-04-017.61810002034659.63
822025-05-028.39820002244205.56
832025-06-027.99830002138211.25
842025-07-028.03840002149915.69
852025-08-017.41850001984919.71
862025-09-018.49860002275219.75
872025-10-097.54870002021630.96
882025-11-036.6880001770597.40

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