定投飞荣达

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:飞荣达

总共投入:10.7万
现有资产:20.863万
定投月数:107月
每月第一天收盘投入,后复权收盘价买入
2017-01-26:收盘价:21.34
2025-11-03:收盘价:149.63
每月定投:1000
猜一猜,定投 飞荣达 (300602) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 飞荣达 ( 300602 ) ?
定投 飞荣达 记录列表
Id日期后复权收盘价总投入当日资产
12017-01-2621.3410001000.00
22017-02-0323.4720002099.81
32017-03-0158.830006260.71
42017-04-0561.0140007496.02
52017-05-0245.850006627.24
62017-06-0146.360007699.59
72017-07-0349.1470009171.88
82017-08-0143.4180009102.38
92017-09-0157.32900013019.09
102017-10-0963.081000015327.36
112017-11-0171.081100018271.22
122017-12-0162.451200017052.86
132018-01-0252.991300015469.68
142018-02-0144.121400013880.21
152018-03-0154.21500018051.39
162018-04-0270.61600024513.43
172018-05-0261.291700022280.85
182018-06-0159.961800022797.35
192018-07-0255.81900022215.68
202018-08-0171.322000029394.67
212018-09-0382.42100034961.31
222018-10-0871.522200031345.06
232018-11-0171.62300032380.12
242018-12-0377.382400035994.05
252019-01-0267.662500032472.70
262019-02-0167.582600033434.30
272019-03-01802700040578.93
282019-04-0189.62800046448.40
292019-05-0673.212900038951.87
302019-06-0368.173000037270.30
312019-07-0181.283100045437.88
322019-08-0193.43200053213.31
332019-09-02126.13300072843.67
342019-10-08130.363400076304.53
352019-11-01139.63500082713.04
362019-12-02134.563600080726.84
372020-01-02130.93700079531.09
382020-02-03128.293800078945.33
392020-03-02180.5539000112104.36
402020-04-01138.344000086895.97
412020-05-06157.34100099805.38
422020-06-01137.984200088547.02
432020-07-01154.054300099859.75
442020-08-03147.094400096348.07
452020-09-01137.34500090935.35
462020-10-09123.644600082888.18
472020-11-02102.274700069561.74
482020-12-01102.044800070405.30
492021-01-0495.874900067148.14
502021-02-0181.185000057859.14
512021-03-0190.175100065266.56
522021-04-0178.315200057682.09
532021-05-0668.15300051161.54
542021-06-0172.665400055587.34
552021-07-0182.225500063901.06
562021-08-02108.635600085426.80
572021-09-0191.775700073168.07
582021-10-0883.635800067678.06
592021-11-0197.425900079837.70
602021-12-01135.2760000111856.56
612022-01-04118.046100098608.84
622022-02-0797.756200082658.88
632022-03-0190.176300077249.12
642022-04-0170.126400061072.18
652022-05-0549.126500043781.88
662022-06-0153.66600048775.01
672022-07-0172.86700067246.66
682022-08-0182.416800077123.59
692022-09-0173.516900069794.50
702022-10-1068.337000065876.32
712022-11-0186.177100084075.70
722022-12-0172.717200071942.84
732023-01-0371.727300071963.28
742023-02-0181.897400083167.78
752023-03-0179.687500081923.30
762023-04-0389.097600092598.22
772023-05-0480.577700084742.72
782023-06-0171.917800076634.22
792023-07-0372.297900078039.18
802023-08-0178.178000085386.82
812023-09-0182.788100091422.42
822023-10-0992.2582000102881.11
832023-11-0194.0883000105922.00
842023-12-0185.148400096856.71
852024-01-0282.748500095126.43
862024-02-0155.158600064406.12
872024-03-0173.468700086789.19
882024-04-0181.948800097807.87
892024-05-0672.948900088065.00
902024-06-0379.889000097444.09
912024-07-0170.69100087123.60
922024-08-0168.449200085458.06
932024-09-0273.019300092164.42
942024-10-08100.494000127740.28
952024-11-0190.3395000115928.08
962024-12-02103.2396000133483.74
972025-01-0287.9397000114699.75
982025-02-0595.7498000125887.45
992025-03-03103.9399000137656.39
1002025-04-0199.7100000133053.71
1012025-05-0696.45101000129716.46
1022025-06-0388.95102000120629.64
1032025-07-01100.02103000136642.23
1042025-08-01113.39104000155907.65
1052025-09-01152.41105000210558.91
1062025-10-09164.46106000228206.34
1072025-11-03149.63107000208628.08

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