定投设研院

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:设研院

总共投入:9.6万
现有资产:8.511万
定投月数:96月
每月第一天收盘投入,后复权收盘价买入
2017-12-12:收盘价:59.64
2025-11-03:收盘价:41.39
每月定投:1000
猜一猜,定投 设研院 (300732) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 设研院 ( 300732 ) ?
定投 设研院 记录列表
Id日期后复权收盘价总投入当日资产
12017-12-1259.6410001000.00
22018-01-0282.9520002390.85
32018-02-0186.430003490.28
42018-03-0178.6840004178.42
52018-04-0280.650005280.38
62018-05-0279.660006214.87
72018-06-2973.470006730.80
82018-07-0275.1580007891.27
92018-08-0171.9690008556.30
102018-09-1858.46100007951.10
112018-10-0851.69110008030.32
122018-11-0155.85120009676.60
132018-12-0362.671300011858.24
142019-01-0259.471400012252.74
152019-02-0160.751500013516.46
162019-03-0167.391600015993.82
172019-04-0169.891700017587.15
182019-05-0655.941800015076.76
192019-06-0352.731900015211.62
202019-07-0152.732000016211.62
212019-08-0147.432100015582.15
222019-09-0246.482200016270.05
232019-10-0845.342300016871.00
242019-11-0144.262400017469.13
252019-12-0242.372500017723.16
262020-01-0244.612600019660.14
272020-02-0339.172700018262.67
282020-03-0243.62800021328.12
292020-04-0141.232900021168.77
302020-05-0642.973000023062.14
312020-06-0142.753100023944.07
322020-07-0142.233200024652.82
332020-08-0345.83300027736.89
342020-09-0150.883400031813.39
352020-10-0950.33500032450.73
362020-11-0258.163600038521.57
372020-12-0148.463700033096.89
382021-01-0443.473800030688.85
392021-02-0139.233900028695.51
402021-03-0141.354000031246.22
412021-04-0146.044100035790.23
422021-05-0640.264200032297.02
432021-06-0140.654300033609.88
442021-07-0140.944400034849.65
452021-08-0240.694500035636.84
462021-09-0147.374600042487.28
472021-10-0847.224700043352.74
482021-11-0141.964800039523.53
492021-12-0146.574900044865.84
502022-01-0447.115000046386.08
512022-02-0760.95100060964.17
522022-03-0158.445200059501.58
532022-04-0158.115300060165.59
542022-05-0553.945400056848.08
552022-06-0150.165500053864.28
562022-07-0151.935600056765.00
572022-08-0150.755700056475.13
582022-09-0147.665800054036.55
592022-10-1042.615900049310.90
602022-11-0142.486000050160.45
612022-12-0145.396100054596.58
622023-01-0343.396200053190.92
632023-02-0145.576300056863.34
642023-03-0147.186400059872.33
652023-04-0348.886500063029.67
662023-05-0448.836600063965.19
672023-06-0147.76700063484.94
682023-07-0348.276800065243.57
692023-08-0151.056900070001.12
702023-09-0146.357000064556.35
712023-10-0944.967100063620.36
722023-11-0144.617200064125.09
732023-12-0145.187300065944.45
742024-01-0244.447400065864.35
752024-02-0136.737500055437.39
762024-03-0136.037600055380.86
772024-04-0137.827700059132.23
782024-05-0637.127800059037.77
792024-06-0338.037900061485.08
802024-07-0142.358000069469.45
812024-08-0139.868100066384.94
822024-09-0234.298200058108.37
832024-10-0845.268300077698.31
842024-11-0137.568400065479.64
852024-12-0240.268500071186.64
862025-01-0234.28600061471.51
872025-02-0533.858700061842.42
882025-03-0337.568800069620.42
892025-04-0133.988900063984.61
902025-05-0634.339000065643.66
912025-06-0335.69100069072.07
922025-07-0136.869200072516.76
932025-08-0152.6793000104620.67
942025-09-0145.879400092113.54
952025-10-0941.879500085080.96
962025-11-0341.399600085105.59

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