定投创业板ETF富国

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:创业板ETF富国

总共投入:7.7万
现有资产:11.042万
定投月数:77月
每月第一天收盘投入,后复权收盘价买入
2019-07-02:收盘价:1.092
2025-11-03:收盘价:2.222
每月定投:1000
猜一猜,定投 创业板ETF富国 (159971) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 创业板ETF富国 ( 159971 ) ?
定投 创业板ETF富国 记录列表
Id日期后复权收盘价总投入当日资产
12019-07-021.09210001000.00
22019-08-011.09320002000.92
32019-09-021.14630003097.94
42019-10-081.11940004024.95
52019-11-011.15950005168.83
62019-12-021.1560006128.69
72020-01-021.25970007709.59
82020-02-031.23180008538.13
92020-03-021.477900011244.36
102020-04-011.2831000010767.45
112020-05-061.4471100013143.80
122020-06-011.4791200014434.47
132020-07-011.6631300017230.24
142020-08-031.961400021307.44
152020-09-011.8781500021416.00
162020-10-091.8251600021811.61
172020-11-021.8451700023050.64
182020-12-011.8421800024013.16
192021-01-042.0941900028298.35
202021-02-012.1472000030014.59
212021-03-012.0352100029448.86
222021-04-011.9112200028654.43
232021-05-062.0392300031573.72
242021-06-012.2352400035608.77
252021-07-012.3372500038233.86
262021-08-022.3532600039495.63
272021-09-012.1532700037138.58
282021-10-082.1842800038673.32
292021-11-012.242900040664.95
302021-12-012.3333000043353.27
312022-01-042.1873100041640.21
322022-02-071.9593200038299.11
332022-03-011.9493300039103.61
342022-04-011.7883400036873.40
352022-05-051.5443500032841.46
362022-06-011.6363600035798.33
372022-07-011.8663700041831.11
382022-08-011.8483800042427.59
392022-09-011.7163900040397.05
402022-10-101.5184000036735.85
412022-11-011.5824100039284.66
422022-12-011.6174200041153.79
432023-01-031.6034300041797.48
442023-02-011.7684400047099.78
452023-03-011.6544500045062.80
462023-04-031.6494600045926.58
472023-05-041.5574700044364.27
482023-06-011.54800043740.15
492023-07-031.524900045323.35
502023-08-011.5165000046204.08
512023-09-011.4335100044674.43
522023-10-091.3635200043492.15
532023-11-011.3335300043534.88
542023-12-011.3155400043947.01
552024-01-021.2665500043309.44
562024-02-011.0855600038117.49
572024-03-011.2475700044808.77
582024-04-011.2745800046778.96
592024-05-061.2965900048586.76
602024-06-031.2486000047787.25
612024-07-011.1636100045532.51
622024-08-011.1476200045906.10
632024-09-021.0626300043504.16
642024-10-081.8786400077931.09
652024-11-011.4646500061751.39
662024-12-021.5516600066421.05
672025-01-021.4276700062110.79
682025-02-051.426800062806.11
692025-03-031.5136900067919.47
702025-04-011.4497000066046.47
712025-05-061.3757100063673.50
722025-06-031.3897200065321.81
732025-07-011.4927300071165.69
742025-08-011.6177400078127.96
752025-09-012.06575000100773.80
762025-10-092.26276000111387.57
772025-11-032.22277000110417.86

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