定投正利控股

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:正利控股

总共投入:10.0万
现有资产:5.951万
定投月数:100月
每月第一天收盘投入,后复权收盘价买入
2017-09-18:收盘价:0.475
2026-01-07:收盘价:0.084
每月定投:1000
猜一猜,定投 正利控股 (03728) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 正利控股 ( 03728 ) ?
定投 正利控股 记录列表
Id日期后复权收盘价总投入当日资产
12017-09-180.47510001000.00
22017-10-030.4520001947.37
32017-11-010.40530002752.63
42017-12-010.42540003888.56
52018-01-020.38150004485.98
62018-02-010.38660005544.85
72018-03-010.36670006257.56
82018-04-030.38680007599.50
92018-05-020.41690009190.13
102018-06-010.396100009748.30
112018-07-030.326110009025.12
122018-08-010.3361200010301.96
132018-09-030.3061300010382.14
142018-10-100.2861400010703.57
152018-11-010.2471500010243.99
162018-12-030.261600011783.15
172019-01-070.241700011876.75
182019-02-080.2381800012777.78
192019-03-010.2651900015227.36
202019-04-010.232000014216.20
212019-05-240.2392100015772.49
222019-06-030.212200014858.67
232019-07-020.212300015858.67
242019-08-010.2252400017991.43
252019-09-020.2532500021230.37
262019-10-020.2342600020635.99
272019-11-010.2112700019607.67
282019-12-020.1872800018377.41
292020-01-020.2682900027337.68
302020-02-030.2683000028337.68
312020-03-020.2443100026799.98
322020-04-010.2193200025054.08
332020-05-040.2143300025482.07
342020-06-010.2133400026362.99
352020-07-020.2173500027858.07
362020-08-030.2183600028986.45
372020-09-010.1993700027460.11
382020-10-050.1753800025148.34
392020-11-020.1763900026292.04
402020-12-010.1944000029981.00
412021-01-040.1994100031753.71
422021-02-010.2084200034189.80
432021-03-010.24300033874.81
442021-04-080.2154400037415.42
452021-05-030.2084500037197.25
462021-06-020.1954600035872.42
472021-07-020.2034700038344.11
482021-08-120.24800038777.44
492021-09-080.1984900039389.67
502021-10-040.1895000038599.23
512021-11-010.2075100043275.35
522021-12-020.1985200042393.81
532022-01-030.1815300039753.94
542022-02-040.2075400046464.45
552022-03-090.1595500036690.08
562022-04-260.1885600044381.99
572022-05-030.1975700047506.66
582022-06-070.1835800045130.55
592022-07-070.1735900043664.40
602022-08-010.1686000043402.42
612022-09-010.1456100038460.42
622022-10-070.1486200040256.16
632022-11-010.1436300039896.15
642022-12-010.1436400040896.15
652023-01-030.1416500041324.18
662023-02-010.1366600040858.78
672023-03-010.146700043060.51
682023-04-170.1426800044675.66
692023-05-100.1326900042529.49
702023-06-010.1337000043851.68
712023-07-030.1117100037598.02
722023-08-070.1227200042323.95
732023-09-110.1357300047833.88
742023-10-050.1237400044581.98
752023-12-040.1117500041232.51
762024-01-030.1167600044089.84
772024-02-060.1177700045469.92
782024-03-010.127800047635.82
792024-04-080.1077900043475.27
802024-05-020.1058000043662.65
812024-06-030.18100042583.47
822024-07-090.18200043583.47
832024-08-050.0648300028893.42
842024-09-030.0648400029893.42
852024-10-020.0788500037432.61
862024-11-050.0698600034113.46
872024-12-030.0588700029675.08
882025-01-030.0618800032210.00
892025-02-030.0568900030569.84
902025-03-070.0549000030478.06
912025-04-030.0579100033171.28
922025-05-020.0539200031843.47
932025-06-020.0589300035847.58
942025-07-030.069400038083.70
952025-08-010.0579500037179.51
962025-09-010.1089600071445.39
972025-10-020.0899700059876.30
982025-11-030.089800054821.39
992025-12-010.0899900061988.80
1002026-01-070.08410000059506.28

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