定投北控城市资源

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:北控城市资源

总共投入:7.3万
现有资产:5.642万
定投月数:73月
每月第一天收盘投入,后复权收盘价买入
2020-01-15:收盘价:0.69
2026-01-02:收盘价:0.515
每月定投:1000
猜一猜,定投 北控城市资源 (03718) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 北控城市资源 ( 03718 ) ?
定投 北控城市资源 记录列表
Id日期后复权收盘价总投入当日资产
12020-01-150.6910001000.00
22020-02-030.6220001898.55
32020-03-020.8230003510.99
42020-04-010.6140003611.83
52020-05-040.7150005203.93
62020-06-010.7460006423.82
72020-07-021.42700013326.79
82020-08-031.35800013669.83
92020-09-011.85900019732.74
102020-10-051.831000020519.41
112020-11-021.791100021070.90
122020-12-012.411200029369.20
132021-01-042.141300027078.87
142021-02-012.081400027319.65
152021-03-011.331500018468.82
162021-04-011.241600018219.05
172021-05-031.361700020982.18
182021-06-011.191800019359.41
192021-07-0211900017268.41
202021-08-020.842000015505.46
212021-09-010.812100015951.70
222021-10-040.82200016754.76
232021-11-010.82300017754.76
242021-12-010.522400012540.60
252022-01-030.542500014022.93
262022-02-040.582600016061.66
272022-03-010.612700017892.44
282022-04-010.742800022705.58
292022-05-030.82900025546.57
302022-06-010.83000026546.57
312022-07-040.793100027214.74
322022-08-010.783200027870.25
332022-09-010.723300026726.38
342022-10-030.633400024385.59
352022-11-010.743500029643.39
362022-12-010.683600028239.87
372023-01-030.683700029239.87
382023-02-010.643800028519.88
392023-03-010.643900029519.88
402023-04-030.574000027291.14
412023-05-020.544100026854.76
422023-06-010.554200028352.08
432023-07-030.584300030898.55
442023-08-010.614400033496.75
452023-09-040.614500034496.75
462023-10-030.5574600032499.49
472023-11-010.5624700033791.23
482023-12-010.5174800032085.53
492024-01-020.5824900037119.49
502024-02-020.5925000038757.28
512024-03-010.5825100039102.60
522024-04-020.5625200038758.87
532024-05-020.5525300039069.21
542024-06-030.5575400040423.10
552024-07-020.5775500042874.55
562024-08-010.5775600043874.55
572024-09-020.5775700044874.55
582024-10-020.5995800047585.54
592024-11-010.5895900047791.13
602024-12-020.5696000047168.34
612025-01-020.5396100045681.43
622025-02-030.4896200042443.82
632025-03-030.4696300041707.88
642025-04-010.4496400040929.29
652025-05-020.4346500040561.94
662025-06-030.4496600042963.85
672025-07-020.4626700045207.79
682025-08-010.4576800045718.53
692025-09-010.4976900050720.15
702025-10-020.537000055087.89
712025-11-030.557100058166.68
722025-12-020.547200058109.10
732026-01-020.5157300056418.87

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