定投央企创新ETF

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:央企创新ETF

总共投入:7.2万
现有资产:9.898万
定投月数:72月
每月第一天收盘投入,后复权收盘价买入
2019-12-18:收盘价:0.923
2025-11-03:收盘价:1.753
每月定投:1000
猜一猜,定投 央企创新ETF (159974) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 央企创新ETF ( 159974 ) ?
定投 央企创新ETF 记录列表
Id日期后复权收盘价总投入当日资产
12019-12-180.92310001000.00
22020-01-020.93720002015.17
32020-02-030.82330002769.99
42020-03-020.96440004244.56
52020-04-010.85250004751.42
62020-05-060.89260005974.49
72020-06-010.8670006760.16
82020-07-010.86980007830.90
92020-08-031.014900010137.55
102020-09-011.0181000011177.54
112020-10-090.9831100011793.25
122020-11-020.9881200012853.23
132020-12-011.091300015180.19
142021-01-041.0951400016249.82
152021-02-011.0871500017131.10
162021-03-011.1191600018635.42
172021-04-011.1251700019735.34
182021-05-061.1171800020595.00
192021-06-011.1491900022185.01
202021-07-011.1682000023551.86
212021-08-021.2452100026104.51
222021-09-011.3932200030207.70
232021-10-081.3912300031164.33
242021-11-011.3642400031559.41
252021-12-011.3732500032767.65
262022-01-041.4182600034841.61
272022-02-071.3722700034711.35
282022-03-011.3662800035559.55
292022-04-011.2742900034164.61
302022-05-051.2373000034172.39
312022-06-011.2663100035973.52
322022-07-011.3113200038252.20
332022-08-011.2893300038610.29
342022-09-011.2463400038322.28
352022-10-101.1723500037046.32
362022-11-011.2043600039057.82
372022-12-011.3113700043528.91
382023-01-031.2743800043300.40
392023-02-011.3613900047257.34
402023-03-011.4174000050201.80
412023-04-031.4874100053681.78
422023-05-041.5534200057064.42
432023-06-011.4834300055492.30
442023-07-031.4994400057091.00
452023-08-011.5414500059690.62
462023-09-011.454600057165.73
472023-10-091.4344700057534.94
482023-11-011.3674800055846.76
492023-12-011.3714900057010.18
502024-01-021.3485000057053.77
512024-02-011.3155100056657.05
522024-03-011.4565200063732.07
532024-04-011.4975300066526.72
542024-05-061.5015400067704.48
552024-06-031.4945500068388.74
562024-07-011.5315600071082.44
572024-08-011.5055700070875.29
582024-09-021.3955800066695.03
592024-10-081.7045900082468.34
602024-11-011.6166000079209.41
612024-12-021.6076100079768.27
622025-01-021.5736200079080.58
632025-02-051.5466300078723.19
642025-03-031.5756400081199.89
652025-04-011.5666500081735.89
662025-05-061.5316600080909.10
672025-06-031.5426700082490.41
682025-07-011.5826800085630.24
692025-08-011.6416900089823.79
702025-09-011.7197000095093.29
712025-10-091.7497100097752.86
722025-11-031.7537200098976.42

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