定投信义能源

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:信义能源

总共投入:7.9万
现有资产:6.581万
定投月数:79月
每月第一天收盘投入,后复权收盘价买入
2019-05-28:收盘价:1.94
2025-11-03:收盘价:2.008
每月定投:1000
猜一猜,定投 信义能源 (03868) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 信义能源 ( 03868 ) ?
定投 信义能源 记录列表
Id日期后复权收盘价总投入当日资产
12019-05-281.9410001000.00
22019-06-031.9420002000.00
32019-07-022.1930003257.73
42019-08-012.1340004168.48
52019-09-022.1450005188.05
62019-10-022.1760006260.78
72019-11-012.0570006914.56
82019-12-021.9680007610.99
92020-01-022.1890009465.29
102020-02-032.05100009900.85
112020-03-022.391100012542.94
122020-04-012.21200012545.80
132020-05-042.191300013488.77
142020-06-012.2751400015012.31
152020-07-022.6551500018519.86
162020-08-032.7151600019938.39
172020-09-012.9151700022407.15
182020-10-054.4951800035552.36
192020-11-023.9551900032281.33
202020-12-014.7652000039892.68
212021-01-045.6552100048343.78
222021-02-015.0352200044043.49
232021-03-014.9152300043993.79
242021-04-014.1952400038549.13
252021-05-033.8952500036792.33
262021-06-014.062600039350.93
272021-07-024.892700048395.58
282021-08-025.42800054442.97
292021-09-014.9342900050744.75
302021-10-044.7443000049790.65
312021-11-014.8243100051630.29
322021-12-014.3243200047278.89
332022-01-034.7043300052433.84
342022-02-044.2543400048417.84
352022-03-014.5543500052832.36
362022-04-015.2443600061837.26
372022-05-034.6043700055290.38
382022-06-014.6743800057131.03
392022-07-044.4243900055075.24
402022-08-014.3144000054705.83
412022-09-013.6314100047044.70
422022-10-032.9314200038975.22
432022-11-012.5114300034390.24
442022-12-013.0314400042512.07
452023-01-033.1914500045756.19
462023-02-013.4314600050197.58
472023-03-013.0914700046223.18
482023-04-032.8914800044232.36
492023-05-022.7744900043442.25
502023-06-012.7195000043580.93
512023-07-033.2555100053172.09
522023-08-012.5295200042312.51
532023-09-042.3655300040568.64
542023-10-032.2225400039115.65
552023-11-012.0025500036242.81
562023-12-011.8925600035251.45
572024-01-021.9695700037686.10
582024-02-011.6835800033212.14
592024-03-011.6395900033343.85
602024-04-021.6836000035238.99
612024-05-021.7166100036929.95
622024-06-031.6946200037456.49
632024-07-021.5996300036355.92
642024-08-011.4786400034604.78
652024-09-021.3366500032280.10
662024-10-021.66600039658.80
672024-11-011.4686700037386.95
682024-12-021.4026800036706.07
692025-01-021.3696900036842.09
702025-02-031.3367000036954.00
712025-03-031.6337100046169.08
722025-04-011.67200046236.08
732025-05-021.5347300045328.84
742025-06-021.5347400046328.84
752025-07-021.8367500056449.64
762025-08-011.8917600059140.67
772025-09-011.9647700062423.74
782025-10-022.0417800065871.10
792025-11-032.0087900065806.06

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