定投守益控股

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:守益控股

总共投入:9.8万
现有资产:8.313万
定投月数:98月
每月第一天收盘投入,后复权收盘价买入
2017-12-11:收盘价:0.69
2026-01-05:收盘价:0.133
每月定投:1000
猜一猜,定投 守益控股 (02227) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 守益控股 ( 02227 ) ?
定投 守益控股 记录列表
Id日期后复权收盘价总投入当日资产
12017-12-110.6910001000.00
22018-01-020.6120001884.06
32018-02-010.630002853.17
42018-03-010.8740005137.10
52018-04-030.9450006550.43
62018-05-020.9460007550.43
72018-06-010.8970008148.81
82018-07-030.880008324.77
92018-08-010.7490008700.42
102018-09-030.74100009700.42
112018-10-020.711100010307.16
122018-11-010.731200011597.50
132018-12-030.711300012279.76
142019-01-020.61400011377.26
152019-02-040.591500012187.64
162019-03-010.61600013394.21
172019-04-010.61700014394.21
182019-05-020.61800015394.21
192019-06-030.661900017933.63
202019-07-020.862000024368.06
212019-08-010.832100024518.02
222019-09-020.842200025813.41
232019-10-020.762300024354.99
242019-11-010.652400021829.93
252019-12-020.632500022158.24
262020-01-020.62600022103.08
272020-02-030.62700023103.08
282020-03-020.552800022177.83
292020-04-010.4952900020960.04
302020-05-040.122300006165.91
312020-06-010.083310005194.84
322020-07-020.1713200011702.62
332020-08-030.1483300011128.59
342020-09-010.2023400016189.02
352020-10-050.233500019433.04
362020-11-020.343600029727.10
372020-12-010.293700026355.47
382021-01-040.2753800025992.25
392021-02-010.33900029355.19
402021-03-010.2654000026930.41
412021-04-010.254100026406.05
422021-05-030.2654200028990.41
432021-06-010.194300021785.58
442021-07-020.224400026225.41
452021-08-020.2464500030324.77
462021-09-010.314600039214.15
472021-10-040.1554700020607.07
482021-11-010.1844800025462.59
492021-12-010.1844900026462.59
502022-01-030.165000024010.95
512022-02-040.1515100023660.33
522022-03-010.1275200020899.75
532022-04-040.1335300022887.14
542022-05-050.1695400030082.15
552022-06-010.1765500032328.16
562022-07-040.1715600032409.75
572022-08-010.1785700034736.46
582022-09-020.185800036126.76
592022-10-030.195900039133.80
602022-11-040.1586000033542.85
612022-12-010.1156100025414.10
622023-01-040.1036200023762.19
632023-02-070.1036300024762.19
642023-03-020.0986400024560.14
652023-04-030.0766500020046.64
662023-05-100.0716600019727.78
672023-06-010.0966700027674.19
682023-07-040.0776800023197.00
692023-08-010.0866900026908.34
702023-09-040.127000038546.52
712023-10-030.0947100031194.78
722023-11-060.097200030867.34
732023-12-150.1467300051073.68
742024-01-100.0997400035632.15
752024-02-020.0967500035552.39
762024-03-060.0997600037663.40
772024-04-110.097700035239.46
782024-05-020.127800047985.95
792024-06-130.1017900041388.17
802024-07-050.18000041978.39
812024-08-060.0978100041719.04
822024-09-020.0628200027665.78
832024-10-030.0648300029558.22
842024-11-070.088400037947.77
852024-12-020.0868500041793.86
862025-01-020.098600044737.76
872025-02-030.0798700040269.81
882025-03-030.0798800041269.81
892025-04-070.0758900040180.20
902025-05-020.0679000036894.31
912025-06-090.0969100053863.49
922025-07-020.0949200053741.33
932025-08-010.0999300057599.92
942025-09-020.1019400059763.55
952025-10-030.1129500067272.45
962025-11-030.1339600080886.04
972025-12-020.1079700066073.73
982026-01-050.1339800083129.03

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