定投沪深300ETF指数基金

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:沪深300ETF指数基金

总共投入:7.1万
现有资产:8.659万
定投月数:71月
每月第一天收盘投入,后复权收盘价买入
2020-01-10:收盘价:1.012
2025-11-03:收盘价:1.348
每月定投:1000
猜一猜,定投 沪深300ETF指数基金 (515390) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 沪深300ETF指数基金 ( 515390 ) ?
定投 沪深300ETF指数基金 记录列表
Id日期后复权收盘价总投入当日资产
12020-01-101.01210001000.00
22020-02-030.87820001867.59
32020-03-020.98730003099.44
42020-04-010.89440003807.40
52020-05-060.95950005084.22
62020-06-010.97160006147.84
72020-07-011.03870007572.05
82020-08-031.17780009586.03
92020-09-011.196900010740.78
102020-10-091.1551000011372.57
112020-11-021.1661100012480.88
122020-12-011.2521200014401.43
132021-01-041.3081300016045.58
142021-02-011.3451400017499.47
152021-03-011.3491500018551.51
162021-04-011.281600018602.62
172021-05-061.2791700019588.09
182021-06-011.361800021828.62
192021-07-011.3441900022571.81
202021-08-021.2962000022765.67
212021-09-011.2832100023537.31
222021-10-081.3042200024922.57
232021-11-011.2922300025693.22
242021-12-011.2872400026593.79
252022-01-041.32500027862.41
262022-02-071.2272600027297.83
272022-03-011.2212700028164.35
282022-04-011.132800027065.28
292022-05-051.0612900026412.62
302022-06-011.0833000027960.29
312022-07-011.1923100031774.40
322022-08-011.1253200030988.42
332022-09-011.0923300031079.43
342022-10-101.0073400029660.24
352022-11-010.9853500030012.25
362022-12-011.0553600033145.10
372023-01-031.0523700034050.85
382023-02-011.1323800037640.27
392023-03-011.1163900038108.25
402023-04-031.1054000038732.63
412023-05-041.0894100039171.80
422023-06-011.0324200038121.48
432023-07-031.0634300040266.60
442023-08-011.1024400042743.93
452023-09-011.0454500041533.04
462023-10-091.0184600041459.93
472023-11-010.9864700041156.67
482023-12-010.9624800041154.89
492024-01-020.9364900041042.60
502024-02-010.895000040025.54
512024-03-010.9775100044938.15
522024-04-010.9925200046628.09
532024-05-061.0095300048427.16
542024-06-030.9945400048707.24
552024-07-010.975500048531.21
562024-08-010.9655600049281.05
572024-09-020.9225700048085.10
582024-10-081.2655800066973.60
592024-11-011.1025900059343.80
602024-12-021.1156000061043.86
612025-01-021.0836100060291.93
622025-02-051.0766200060902.23
632025-03-031.1026300063373.84
642025-04-011.1036400064431.35
652025-05-061.086500064087.82
662025-06-031.0966600066037.27
672025-07-011.1286700068965.36
682025-08-011.176800072533.22
692025-09-011.3056900081902.44
702025-10-091.3617000086417.02
712025-11-031.3487100086591.59

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