定投核心选择债券基金

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:核心选择债券基金

总共投入:11.1万
现有资产:11.557万
定投月数:111月
每月第一天收盘投入,后复权收盘价买入
2016-11-21:收盘价:25
2026-01-02:收盘价:28.149
每月定投:1000
猜一猜,定投 核心选择债券基金 (BNDC) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 核心选择债券基金 ( BNDC ) ?
定投 核心选择债券基金 记录列表
Id日期后复权收盘价总投入当日资产
12016-11-212510001000.00
22016-12-0124.79220001991.68
32017-01-0925.05930003013.13
42017-02-1724.99840004005.79
52017-03-0625.15150005030.31
62017-04-2825.22160006044.31
72017-05-0825.20470007040.24
82017-06-0125.44480008107.28
92017-07-0625.41590009098.04
102017-08-0725.6741000010190.75
112017-09-0626.0441100011337.62
122017-10-0225.7081200012191.35
132017-11-0125.7511300013211.74
142017-12-0125.7711400014222.00
152018-01-0425.6641500015162.95
162018-02-0125.5341600016086.14
172018-03-0625.2731700016921.72
182018-04-0325.361800017979.97
192018-05-0125.0841900018784.29
202018-06-0125.2022000019872.65
212018-07-0625.2962100020946.78
222018-08-0225.2362200021897.09
232018-09-0425.2732300022929.20
242018-10-0225.2472400023905.61
252018-11-0125.1362500024800.50
262018-12-0325.2212600025884.37
272019-01-0225.542700027211.76
282019-02-0125.772800028456.82
292019-03-0125.7512900029435.83
302019-04-0126.1643000030907.93
312019-05-0126.2693100032031.97
322019-06-0326.7373200033602.64
332019-07-0127.0043300034938.20
342019-08-0127.2123400036207.32
352019-09-0327.7643500037941.79
362019-10-0127.6763600038821.53
372019-11-0127.6853700039834.15
382019-12-0227.6063800040720.49
392020-01-0227.7513900041934.37
402020-02-0328.1414000043523.70
412020-03-0228.574100045187.20
422020-04-0128.1884200045583.02
432020-05-0128.8274300047616.35
442020-06-0129.1664400049176.31
452020-07-0129.3784500050533.76
462020-08-0329.7574600052185.68
472020-09-0129.64700052910.35
482020-10-0129.5114800053751.26
492020-11-0229.4534900054645.62
502020-12-0129.7445000056185.53
512021-01-0429.8515100057387.65
522021-02-0129.6765200058051.21
532021-03-0129.2395300058196.37
542021-04-0129.0395400058798.29
552021-05-0329.1635500060049.37
562021-06-0129.1915600061107.02
572021-07-0129.4555700062659.67
582021-08-0229.8355800064468.04
592021-09-0129.7145900065206.59
602021-10-0129.5726000065894.97
612021-11-0129.4346100066587.47
622021-12-0129.4996200067734.51
632022-01-0329.2546300068171.95
642022-02-0128.856400068230.49
652022-03-0128.6436500068740.94
662022-04-0127.7366600067564.21
672022-05-0226.6716700065969.89
682022-06-0126.8496800067410.17
692022-07-0126.7266900068101.35
702022-08-0127.2377000070403.45
712022-09-0126.3557100069123.62
722022-10-0325.7047200068416.18
732022-11-0125.2957300068327.55
742022-12-0126.2577400071926.13
752023-01-0325.9917500072197.47
762023-02-0126.7497600075303.03
772023-03-0125.8927700073890.43
782023-04-0326.6537800077062.17
792023-05-0126.4337900077426.08
802023-06-0126.468000078505.17
812023-07-0326.2628100078917.71
822023-08-0126.1648200079623.22
832023-09-0126.0388300080239.77
842023-10-0225.4098400079301.42
852023-11-0125.4438500080407.53
862023-12-0126.3998600084428.78
872024-01-0226.9188700087088.64
882024-02-0127.1098800088706.59
892024-03-0126.7758900088613.67
902024-04-0126.6979000089355.52
912024-05-0126.3839100089304.55
922024-06-0326.7859200091665.29
932024-07-0126.7559300092562.63
942024-08-0127.4719400096039.73
952024-09-0327.8419500098333.26
962024-10-0128.05396000100082.04
972024-11-0127.3039700098406.33
982024-12-0227.61298000100520.04
992025-01-0227.2399000100129.39
1002025-02-0327.355100000101589.04
1012025-03-0327.886101000104561.03
1022025-04-0127.911102000105654.77
1032025-05-0127.853103000106435.21
1042025-06-0227.732104000106972.83
1052025-07-0128.041105000109164.76
1062025-08-0128.109106000110429.49
1072025-09-0228.04107000111158.41
1082025-10-0128.342108000113355.63
1092025-11-0328.324109000114283.63
1102025-12-0128.299110000115182.76
1112026-01-0228.149111000115572.23

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