定投保利物业

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:保利物业

总共投入:7.2万
现有资产:6.353万
定投月数:72月
每月第一天收盘投入,后复权收盘价买入
2019-12-19:收盘价:45.35
2025-11-03:收盘价:38.383
每月定投:1000
猜一猜,定投 保利物业 (06049) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 保利物业 ( 06049 ) ?
定投 保利物业 记录列表
Id日期后复权收盘价总投入当日资产
12019-12-1945.3510001000.00
22020-01-0246.5520002026.46
32020-02-0355.430003411.73
42020-03-0266.240005076.83
52020-04-0167.750006191.86
62020-05-0478.160008143.05
72020-06-0188.8700010258.68
82020-07-0279.978800010239.51
92020-08-0383.328900011668.41
102020-09-0167.3281000010427.93
112020-10-0561.8281100010576.08
122020-11-0255.3281200010464.21
132020-12-0156.6781300011719.54
142021-01-0459.3281400013267.49
152021-02-0159.7781500014368.12
162021-03-0154.3781600014070.19
172021-04-0153.8281700014927.88
182021-05-0357.2281800016870.78
192021-06-0162.1481900019321.20
202021-07-0252.0482000017181.21
212021-08-0245.4482100016002.53
222021-09-0148.8482200018199.69
232021-10-0447.2482300018603.56
242021-11-0143.7482400018225.46
252021-12-0152.5982500022912.38
262022-01-0357.5482600026068.67
272022-02-0461.2982700028767.38
282022-03-0156.9482800027725.91
292022-04-0157.8482900029164.09
302022-05-0354.8983000028676.84
312022-06-0152.1483100028240.34
322022-07-0451.5563200028919.74
332022-08-0146.2073300026919.28
342022-09-0147.8063400028850.83
352022-10-0343.8563500027467.01
362022-11-0132.7073600021484.39
372022-12-0146.4063700031482.92
382023-01-0350.1563800035027.01
392023-02-0157.4063900041090.12
402023-03-0152.8064000038797.53
412023-04-0349.4574100037336.96
422023-05-0247.4574200036827.08
432023-06-0137.3564300029988.61
442023-07-0340.0244400033130.43
452023-08-0143.0254500036614.55
462023-09-0439.1744600034337.32
472023-10-0332.9754700029903.69
482023-11-0131.8254800029860.80
492023-12-0131.1254900030204.01
502024-01-0229.4755000029602.83
512024-02-0128.8255100029950.01
522024-03-0129.4755200031625.38
532024-04-0229.0255300032142.55
542024-05-0235.7745400040616.45
552024-06-0335.725500041555.14
562024-07-0231.875600038076.22
572024-08-0129.425700036149.11
582024-09-0227.875800035244.59
592024-10-0242.725900055024.00
602024-11-0135.376000046557.09
612024-12-0235.226100047359.64
622025-01-0232.326200044460.07
632025-02-0330.176300042502.49
642025-03-0334.626400049771.50
652025-04-0134.826500051059.03
662025-05-0233.976600050812.61
672025-06-0233.026700050391.59
682025-07-0237.0736800057576.85
692025-08-0139.1246900061762.19
702025-09-0140.1247000064340.82
712025-10-0239.0837100063671.52
722025-11-0338.3837200063531.13

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