定投策略收益基金

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:策略收益基金

总共投入:14.8万
现有资产:16.779万
定投月数:148月
每月第一天收盘投入,后复权收盘价买入
2013-10-09:收盘价:24.53
2026-01-02:收盘价:33.066
每月定投:1000
猜一猜,定投 策略收益基金 (RIGS) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 策略收益基金 ( RIGS ) ?
定投 策略收益基金 记录列表
Id日期后复权收盘价总投入当日资产
12013-10-0924.5310001000.00
22013-11-0124.8320002012.23
32013-12-0225.0430003029.25
42014-01-0225.1540004042.56
52014-02-0325.0850005031.30
62014-03-0325.3460006083.46
72014-04-0125.3770007090.66
82014-05-0125.4180008101.84
92014-06-0225.5590009146.48
102014-07-0125.6351000010176.91
112014-08-0125.0911100010960.95
122014-09-0225.5731200012171.51
132014-10-0125.2281300013007.30
142014-11-0325.5041400014149.61
152014-12-0125.3171500015045.86
162015-01-0225.4591600016130.25
172015-02-0225.7011700017283.58
182015-03-0226.0631800018527.02
192015-04-0126.0151900019492.90
202015-05-0126.1692000020608.29
212015-06-0126.1932100021627.19
222015-07-0125.9682200022441.41
232015-08-0325.9932300023463.01
242015-09-0125.7122400024209.36
252015-10-0125.352500024868.52
262015-11-0225.9142600026421.81
272015-12-0125.8062700027311.69
282016-01-0425.6312800028126.48
292016-02-0125.4592900028937.73
302016-03-0126.2383000030823.18
312016-04-0126.1553100031725.67
322016-05-0226.5183200033165.99
332016-06-0126.5313300034182.25
342016-07-0126.9133400035674.41
352016-08-0127.1843500037033.63
362016-09-0127.5023600038466.85
372016-10-0327.6213700039633.30
382016-11-0127.4243800040350.62
392016-12-0127.3343900041218.20
402017-01-0327.7574000042856.06
412017-02-0127.8974100044072.22
422017-03-0128.1084200045405.56
432017-04-0328.0124300046250.48
442017-05-0128.2594400047658.30
452017-06-0128.4834500049036.08
462017-07-0328.4564600049989.59
472017-08-0128.5824700051210.94
482017-09-0128.674800052368.61
492017-10-0228.8234900053648.08
502017-11-0128.8415000054681.58
512017-12-0128.7885100055581.10
522018-01-0228.8675200056733.62
532018-02-0128.7615300057525.30
542018-03-0128.5115400058025.27
552018-04-0228.4175500058833.96
562018-05-0128.5135600060032.72
572018-06-0128.5795700061171.68
582018-07-0228.5535800062116.03
592018-08-0128.8055900063664.24
602018-09-0428.9146000064905.15
612018-10-0129.0586100066228.40
622018-11-0128.886200066822.70
632018-12-0328.8856300067834.27
642019-01-0228.8086400068653.45
652019-02-0129.2676500070747.31
662019-03-0129.4996600072308.12
672019-04-0129.7116700073827.78
682019-05-0129.8496800075170.69
692019-06-0329.8816900076251.28
702019-07-0130.0787000077753.99
712019-08-0130.2367100079162.43
722019-09-0330.2477200080191.23
732019-10-0130.3917300081573.00
742019-11-0130.5067400082881.68
752019-12-0230.4777500083802.89
762020-01-0230.667600085306.08
772020-02-0330.5497700085997.24
782020-03-0230.3627800086470.83
792020-04-0128.2397900081424.53
802020-05-0129.368000085656.83
812020-06-0129.5628100087246.16
822020-07-0130.5988200091303.70
832020-08-0330.9838300093452.53
842020-09-0131.1058400094820.52
852020-10-0130.9588500095372.40
862020-11-0231.0368600096612.70
872020-12-0131.2168700098173.02
882021-01-0431.4338800099855.48
892021-02-0131.40189000100753.82
902021-03-0131.35190000101593.39
912021-04-0131.45591000102930.41
922021-05-0331.50992000104107.11
932021-06-0131.59793000105397.87
942021-07-0131.7394000106841.51
952021-08-0231.79595000108060.38
962021-09-0131.996000109417.24
972021-10-0131.82797000110166.85
982021-11-0131.72698000110817.25
992021-12-0131.68499000111670.54
1002022-01-0331.771100000112977.17
1012022-02-0131.656101000113568.24
1022022-03-0131.339102000113430.98
1032022-04-0130.961103000113062.81
1042022-05-0230.457104000112222.31
1052022-06-0130.762105000114346.12
1062022-07-0130.234106000113383.48
1072022-08-0130.962107000117113.62
1082022-09-0130.228108000115337.27
1092022-10-0329.98109000115391.01
1102022-11-0129.939110000116233.20
1112022-12-0130.586111000119745.07
1122023-01-0330.453112000120224.37
1132023-02-0130.944113000123162.78
1142023-03-0130.432114000122124.92
1152023-04-0330.985115000125344.14
1162023-05-0130.88116000125919.38
1172023-06-0130.906117000127025.40
1182023-07-0330.831118000127717.14
1192023-08-0130.829119000128708.86
1202023-09-0130.803120000129600.31
1212023-10-0230.164121000127911.79
1222023-11-0130.434122000130056.73
1232023-12-0131.19123000134287.43
1242024-01-0231.553124000136850.31
1252024-02-0131.85125000139138.44
1262024-03-0131.682126000139404.53
1272024-04-0131.602127000140052.52
1282024-05-0131.475128000140489.68
1292024-06-0331.678129000142395.78
1302024-07-0131.618130000143126.08
1312024-08-0132.198131000146751.58
1322024-09-0332.633132000149734.21
1332024-10-0132.918133000152041.92
1342024-11-0132.336134000150353.77
1352024-12-0232.767135000153357.81
1362025-01-0232.491136000153066.06
1372025-02-0332.523137000154216.81
1382025-03-0332.999138000157473.89
1392025-04-0133.032139000158631.37
1402025-05-0132.854140000158776.55
1412025-06-0232.897141000159984.36
1422025-07-0133.167142000162297.43
1432025-08-0133.265143000163776.97
1442025-09-0233.224144000164575.11
1452025-10-0132.844145000163692.78
1462025-11-0333.224146000166586.68
1472025-12-0133.164147000167285.84
1482026-01-0233.066148000167791.51

股票定投计算器 策略收益基金