定投SPAC主动型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:SPAC主动型ETF

总共投入:7.4万
现有资产:38.490万
定投月数:74月
每月第一天收盘投入,后复权收盘价买入
2018-10-02:收盘价:9.6
2026-01-02:收盘价:96.137
每月定投:1000
猜一猜,定投 SPAC主动型ETF (SPAQ) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging SPAC主动型ETF ( SPAQ ) ?
定投 SPAC主动型ETF 记录列表
Id日期后复权收盘价总投入当日资产
12018-10-029.610001000.00
22018-11-129.6420002004.17
32018-12-039.6530003006.25
42019-01-029.6340004000.02
52019-02-049.7550005049.86
62019-03-119.860006075.76
72019-04-019.8370007094.36
82019-05-019.8680008116.01
92019-06-039.8990009140.70
102019-07-01101000010242.37
112019-08-019.991100011232.12
122019-09-0310.031200012277.10
132019-10-0310.081300013338.30
142019-11-0110.051400014298.60
152019-12-0210.091500015355.51
162020-01-0310.171600016477.26
172020-02-0310.221700017558.27
182020-03-0210.191800018506.73
192020-04-0110.11900019343.27
202020-05-0110.162000020458.18
212020-06-0110.282100021699.82
222020-07-0110.712200023607.49
232020-08-0312.42300028332.67
242020-09-0113.572400032006.00
252020-10-0115.052500036496.70
262021-04-019.82600024765.29
272021-05-039.862700025916.92
282021-06-019.812800026785.49
292021-07-019.772900027676.28
302021-08-029.813000028789.59
312021-09-019.863100029936.32
322021-10-019.913200031088.13
332021-11-019.973300032276.35
342021-12-019.923400033114.49
352022-01-039.923500034114.49
362022-02-019.9353600035166.07
372022-03-019.973700036289.96
382023-01-3094.46538000344844.62
392023-02-019539000347797.64
402023-03-0195.3240000349969.17
412023-04-0395.9241000353172.08
422023-05-0195.942000354098.44
432023-06-0196.50943000357347.09
442023-07-0397.1644000360757.57
452023-08-0197.64545000363558.39
462023-09-0198.3746000367257.76
472023-10-0298.8147000369900.47
482023-11-0198.9948000371574.31
492023-12-0199.3149000373775.48
502024-01-0299.3650000374963.66
512024-02-0199.7351000377359.97
522024-03-0199.84652000378798.89
532024-04-02100.5753000382545.62
542024-05-01100.9954000385143.21
552024-06-03101.32155000387405.53
562024-07-02101.32356000388413.18
572024-08-01101.68457000390797.04
582024-09-05101.16958000389817.77
592024-10-02101.69459000392840.67
602024-11-01102.88360000398433.74
612024-12-02103.19261000400630.40
622025-01-02103.85862000404216.06
632025-02-03104.23863000406695.02
642025-03-03105.0864000410980.17
652025-04-01106.3265000416829.96
662025-05-01107.13866000421036.94
672025-06-02109.21667000430203.18
682025-07-01110.33868000435622.76
692025-08-01109.82869000434609.24
702025-09-02109.43870000434065.94
712025-10-01109.45871000435145.26
722025-11-03112.58172000448560.61
732025-12-01112.39373000448811.55
742026-01-0296.13774000384897.54

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