定投益生科技

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:益生科技

总共投入:9.2万
现有资产:0.798万
定投月数:92月
每月第一天收盘投入,后复权收盘价买入
2018-03-06:收盘价:4.66
2026-01-02:收盘价:0.002
每月定投:1000
猜一猜,定投 益生科技 (DXF) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 益生科技 ( DXF ) ?
定投 益生科技 记录列表
Id日期后复权收盘价总投入当日资产
12018-03-064.6610001000.00
22018-04-025.420002158.80
32018-05-035.130003038.87
42018-06-015.81140004462.52
52018-07-026.11650005696.74
62018-08-026.05260006637.13
72018-09-045.1970006691.79
82018-10-023.85680005971.78
92018-11-013.9890007163.82
102018-12-033.613100007503.23
112019-01-021.96110005070.40
122019-02-012.99120008734.94
132019-03-013.681300011750.70
142019-04-013.311400011569.24
152019-05-012.671500010332.29
162019-06-032.631600011177.50
172019-07-032.171700010222.50
182019-08-131.9161800010025.95
192019-09-051.62190009477.05
202019-10-041.44200009424.05
212019-11-011.442100010424.05
222019-12-021.262200010121.04
232020-01-021.172300010398.11
242020-02-031.2662400012251.29
252020-03-020.881250009525.58
262020-04-010.61260007595.46
272020-05-010.505270007288.05
282020-06-010.428280007176.80
292020-07-010.7242900013140.20
302020-08-030.6333000012488.60
312020-09-010.7423100015639.08
322020-10-010.793200017650.78
332020-11-021.143300026470.74
342020-12-011.543400036758.72
352021-01-041.333500032746.16
362021-02-011.323600033499.95
372021-03-011.273700033231.02
382021-04-011.373800036847.63
392021-05-031.823900049950.87
402021-06-011.664000046559.58
412021-07-011.654100047279.10
422021-08-021.664200048565.64
432021-09-011.334300039911.03
442021-10-011.34400040010.78
452021-11-011.484500046550.73
462021-12-011.064600034340.39
472022-01-031.14700036636.25
482022-02-010.8224800028377.27
492022-03-010.6394900023059.70
502022-04-010.6795000025503.19
512022-05-020.4955100019592.16
522022-06-010.4955200020592.16
532022-07-010.4625300020219.35
542022-08-010.4995400022838.65
552022-09-010.435500020680.60
562022-10-030.3015600015476.42
572022-11-010.2825700015499.50
582022-12-010.2015800012047.52
592023-01-030.1865900012148.45
602023-02-010.1986000013932.22
612023-03-010.166100012258.36
622023-04-030.1376200011496.22
632023-05-010.2286300020132.40
642023-06-010.1786400016717.40
652023-07-030.1486500014899.86
662023-08-010.0926600010262.07
672023-09-010.049670006465.67
682023-10-020.033680005354.43
692023-11-010.036690006841.20
702023-12-010.04700008601.33
712024-01-020.034710008311.13
722024-02-010.035720009555.58
732024-03-010.0357300010555.58
742024-04-010.037400010047.64
752024-05-010.024750009038.11
762024-06-030.0267600010791.28
772024-07-010.019770008885.94
782024-08-010.015780008015.22
792024-09-030.014790008480.87
802025-01-240.0238000014932.85
812025-02-030.0228100015283.60
822025-03-030.007820005862.96
832025-04-010.006830006025.40
842025-05-010.005840006021.16
852025-06-020.005850007021.16
862025-07-010.004860006616.93
872025-08-010.004870007616.93
882025-09-020.004880008616.93
892025-10-010.003890007462.70
902025-11-030.002900005975.13
912025-12-010.002910006975.13
922026-01-020.002920007975.13

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