定投央企创新驱动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:央企创新驱动ETF

总共投入:7.2万
现有资产:9.540万
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:0.965
2025-11-03:收盘价:1.612
每月定投:1000
猜一猜,定投 央企创新驱动ETF (515900) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 央企创新驱动ETF ( 515900 ) ?
定投 央企创新驱动ETF 记录列表
Id日期后复权收盘价总投入当日资产
12019-12-180.96510001000.00
22020-01-020.95920001993.78
32020-02-030.85130002769.25
42020-03-020.96540004140.22
52020-04-010.85650004672.57
62020-05-060.89760005896.37
72020-06-010.86470006679.44
82020-07-010.86980007718.10
92020-08-031.01190009979.28
102020-09-011.0011000010880.58
112020-10-090.9671100011511.01
122020-11-020.9671200012511.01
132020-12-011.0681300014817.74
142021-01-041.0661400015789.99
152021-02-011.0571500016656.68
162021-03-011.11600018334.29
172021-04-011.0831700019050.95
182021-05-061.0721800019857.45
192021-06-011.1051900021468.73
202021-07-011.1232000022818.45
212021-08-021.182100024976.64
222021-09-011.312200028728.30
232021-10-081.3152300029837.95
242021-11-011.2872400030202.62
252021-12-011.2952500031390.36
262022-01-041.3382600033432.67
272022-02-071.2942700033333.24
282022-03-011.292800034230.20
292022-04-011.22900032842.04
302022-05-051.1623000032802.05
312022-06-011.1943100034705.37
322022-07-011.2343200036868.03
332022-08-011.2113300037180.86
342022-09-011.1713400036952.76
352022-10-101.0993500035680.69
362022-11-011.1353600037849.48
372022-12-011.233700042017.50
382023-01-031.1963800041856.04
392023-02-011.2753900045620.78
402023-03-011.3294000048552.95
412023-04-031.3974100052037.22
422023-05-041.4544200055160.43
432023-06-011.3914300053770.40
442023-07-031.4084400055427.55
452023-08-011.4424500057766.00
462023-09-011.3494600055040.45
472023-10-091.3414700055714.05
482023-11-011.2724800053847.33
492023-12-011.2774900055058.99
502024-01-021.2595000055282.91
512024-02-011.2265100054833.87
522024-03-011.3585200061737.68
532024-04-011.3935300064328.86
542024-05-061.3945400065375.04
552024-06-031.3915500066234.35
562024-07-011.4245600068805.69
572024-08-011.3945700068356.13
582024-09-021.2915800064305.42
592024-10-081.6015900080746.69
602024-11-011.4966000076451.00
612024-12-021.4896100077093.28
622025-01-021.4546200076281.15
632025-02-051.4216300075549.87
642025-03-031.4546400078304.37
652025-04-011.4426500078658.11
662025-05-061.4116600077967.13
672025-06-031.4186700079353.93
682025-07-011.4546800082368.55
692025-08-011.5116900086597.58
702025-09-011.5887000092010.56
712025-10-091.6087100094169.39
722025-11-031.6127200095403.64

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