定投捷荣国际控股

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:捷荣国际控股

总共投入:9.3万
现有资产:8.698万
定投月数:93月
每月第一天收盘投入,后复权收盘价买入
2018-05-11:收盘价:2.37
2026-01-02:收盘价:1.076
每月定投:1000
猜一猜,定投 捷荣国际控股 (02119) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 捷荣国际控股 ( 02119 ) ?
定投 捷荣国际控股 记录列表
Id日期后复权收盘价总投入当日资产
12018-05-112.3710001000.00
22018-06-012.1220001894.51
32018-07-031.7130002528.12
42018-08-011.5940003350.71
52018-09-031.450003950.31
62018-10-021.1960004357.76
72018-11-010.9970004625.37
82018-12-031.1580006372.90
92019-01-021.0890006984.99
102019-02-011.491000010636.69
112019-03-011.621100012564.73
122019-04-011.691200014107.65
132019-05-021.7881300015925.72
142019-06-031.3681400013184.78
152019-07-021.5081500015534.10
162019-08-011.4581600016019.05
172019-09-021.2281700014492.04
182019-10-021.1031800014016.87
192019-11-011.2031900016287.66
202019-12-021.1732000016881.49
212020-01-021.1732100017881.49
222020-02-031.3532200021625.45
232020-03-021.2732300021346.78
242020-04-011.0632400018825.32
252020-05-041.0862500020232.64
262020-06-011.0062600019742.21
272020-07-021.1762700024078.36
282020-08-031.1562800024668.87
292020-09-011.1662900025882.27
302020-10-051.1423000026349.53
312020-11-021.1923100028503.18
322020-12-011.1523200028546.70
332021-01-041.1623300029794.50
342021-02-011.1423400030281.69
352021-03-011.1923500032607.51
362021-04-011.1823600033333.95
372021-05-031.2423700036026.03
382021-06-011.2423800037026.03
392021-07-021.2123900037131.68
402021-08-021.1824000037212.58
412021-09-011.2344100039849.68
422021-10-041.1944200039557.96
432021-11-011.1944300040557.96
442021-12-011.1744400040878.60
452022-01-031.2044500042923.20
462022-02-041.2044600043923.20
472022-03-011.1944700044558.38
482022-04-011.1644800044438.83
492022-05-031.1694900045629.72
502022-06-011.1495000045849.05
512022-07-041.1395100046450.02
522022-08-011.0995200045818.76
532022-09-011.0895300046401.85
542022-10-031.0375400045186.15
552022-11-010.9775500043571.72
562022-12-021.0575600048139.51
572023-01-031.1475700053238.43
582023-02-011.1875800056095.05
592023-03-011.1675900056149.89
602023-04-031.1476000056187.59
612023-05-021.1886100059196.04
622023-06-021.1186200056708.06
632023-07-031.1096300057251.56
642023-08-011.0896400057219.07
652023-09-041.0176500054435.99
662023-10-040.9876600053830.21
672023-11-010.9276700051557.85
682023-12-010.8976800050889.31
692024-01-020.8876900051321.99
702024-02-010.8077000047693.17
712024-03-011.0967100065772.88
722024-04-020.9967200060771.71
732024-05-020.9767300060551.39
742024-06-031.0487400066018.30
752024-07-021.0387500066388.35
762024-08-011.0687600069307.09
772024-09-021.0557700069463.46
782024-10-021.0557800070463.46
792024-11-011.0457900070795.56
802024-12-021.0358000071118.09
812025-01-061.0458100072805.23
822025-02-031.0458200073805.23
832025-03-031.0458300074805.23
842025-04-011.0358400075089.39
852025-05-021.0578500077685.49
862025-06-021.0778600080155.41
872025-07-021.0978700082643.91
882025-08-011.1078800084397.27
892025-09-011.1068900085321.03
902025-10-021.0969000085549.59
912025-11-031.0869100085769.03
922025-12-011.0769200085979.26
932026-01-021.0769300086979.26

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