定投房地产ETF基金

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:房地产ETF基金

总共投入:7.1万
现有资产:6.577万
定投月数:71月
每月第一天收盘投入,后复权收盘价买入
2020-01-03:收盘价:0.996
2025-11-03:收盘价:0.764
每月定投:1000
猜一猜,定投 房地产ETF基金 (515060) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 房地产ETF基金 ( 515060 ) ?
定投 房地产ETF基金 记录列表
Id日期后复权收盘价总投入当日资产
12020-01-030.99610001000.00
22020-02-030.8520001853.41
32020-03-020.95230003075.82
42020-04-010.87240003817.35
52020-05-060.90350004953.06
62020-06-010.91960006040.82
72020-07-011.00270007586.40
82020-08-031.09280009267.81
92020-09-011.095900010293.28
102020-10-091.0491000010860.86
112020-11-020.9881100011229.30
122020-12-011.0481200012911.24
132021-01-040.9491300012691.57
142021-02-010.9031400013076.38
152021-03-010.991500015336.23
162021-04-010.9631600015917.97
172021-05-060.9591700016851.86
182021-06-010.9931800018449.31
192021-07-010.9921900019430.74
202021-08-020.8992000018609.10
212021-09-010.9742100021161.59
222021-10-081.0082200022900.29
232021-11-010.9272300022060.09
242021-12-010.9632400023916.79
252022-01-041.0332500026655.29
262022-02-071.0192600027294.04
272022-03-011.0092700028026.18
282022-04-011.142800032664.87
292022-05-051.0012900029682.04
302022-06-010.9543000029288.38
312022-07-010.993100031393.60
322022-08-010.9343200030617.80
332022-09-010.9543300032273.43
342022-10-100.9253400032292.37
352022-11-010.8093500029242.74
362022-12-011.0163600037725.12
372023-01-030.9313700035568.98
382023-02-010.9533800037409.49
392023-03-010.9473900038173.97
402023-04-030.8934000036997.20
412023-05-040.8444100035967.12
422023-06-010.7864200034495.45
432023-07-030.7994300036065.98
442023-08-010.8974400041489.60
452023-09-010.8484500040223.16
462023-10-090.7834600038140.02
472023-11-010.7374700036899.35
482023-12-010.7374800037899.35
492024-01-020.6744900035659.65
502024-02-010.6185000033696.83
512024-03-010.6515100036496.18
522024-04-010.6335200036487.07
532024-05-060.6145300036391.88
542024-06-030.6335400038518.01
552024-07-010.5855500036597.22
562024-08-010.5715600036721.38
572024-09-020.5415700035792.06
582024-10-080.7795800052537.93
592024-11-010.7845900053875.14
602024-12-020.7956000055631.04
612025-01-020.686100048583.78
622025-02-050.6466200047154.60
632025-03-030.6896300051293.37
642025-04-010.6566400049836.65
652025-05-060.6526500050532.77
662025-06-030.6386600050447.71
672025-07-010.6436700051843.06
682025-08-010.6736800055261.87
692025-09-010.7276900060695.96
702025-10-090.7747000065619.90
712025-11-030.7647100065772.10

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