定投ESG核心中间债券

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:ESG核心中间债券

总共投入:7.9万
现有资产:6.983万
定投月数:79月
每月第一天收盘投入,后复权收盘价买入
2015-06-11:收盘价:50.37
2026-01-02:收盘价:25.336
每月定投:1000
猜一猜,定投 ESG核心中间债券 (UBND) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging ESG核心中间债券 ( UBND ) ?
定投 ESG核心中间债券 记录列表
Id日期后复权收盘价总投入当日资产
12015-06-1150.3710001000.00
22015-07-0250.1520001995.63
32015-08-0449.8230002982.50
42015-09-0149.440003957.36
52015-10-0248.0850004851.61
62015-11-0348.9460005938.39
72015-12-0256.4370007847.23
82016-01-0646.9180007523.37
92016-02-2445.8990008359.78
102016-03-0246.46100009463.62
112016-04-0547.5681100010689.31
122016-05-0348.261200011844.82
132016-06-0148.181300012825.18
142016-07-0548.041400013787.91
152016-08-0148.861500015023.26
162016-09-0149.31600016158.55
172016-10-0348.91700017027.45
182016-11-0149.211800018135.39
192016-12-0249.051900019076.43
202017-01-0349.692000020325.33
212017-02-0149.5062100021250.07
222017-03-0149.9552200022442.80
232017-04-0350.262300023579.82
242017-05-0250.4122400024651.14
252017-06-0250.5152500025701.50
262017-07-0550.892600026892.30
272017-08-0251.332700028124.81
282021-10-0525.0352800014717.22
292021-11-0124.9452900015664.31
302021-12-0125.0043000016701.36
312022-01-0624.7653100017541.72
322022-02-0124.5453200018385.89
332022-03-0224.1183300019066.03
342022-04-0623.2753400019399.62
352022-05-0222.6393500019869.51
362022-06-0622.5763600020814.22
372022-07-0122.3843700021637.20
382022-08-0122.8783800023114.72
392022-09-0122.1663900023395.35
402022-10-1021.334000023512.99
412022-11-0721.0794100024236.30
422022-12-0522.1314200026445.87
432023-01-0322.0084300027298.89
442023-02-0222.8834400029384.25
452023-03-0122.1944500029499.50
462023-04-0522.8784600031408.65
472023-05-0122.7024700032167.02
482023-06-0122.7254800033199.61
492023-07-0522.5174900033895.74
502023-08-0122.5865000034999.61
512023-09-0122.5095100035880.29
522023-10-0221.9595200036003.56
532023-11-0121.925300036939.62
542023-12-0122.8155400039447.87
552024-01-0223.3565500041383.28
562024-02-0123.6135600042838.65
572024-03-0123.3215700043308.90
582024-04-0123.3165800044299.61
592024-05-0123.0275900044750.52
602024-06-0323.446000046553.15
612024-07-0123.416100047493.56
622024-08-0124.1566200050007.03
632024-09-0324.4666300051648.78
642024-10-0124.7046400053151.21
652024-11-0124.0766500052800.05
662024-12-0224.4176600054547.89
672025-01-0224.0976700054833.00
682025-02-0324.2346800056144.75
692025-03-0324.7226900058275.33
702025-04-0124.7017000059225.83
712025-05-0124.6277100060048.40
722025-06-0224.5777200060926.49
732025-07-0124.9637300062883.38
742025-08-0125.097400064203.30
752025-09-0225.1467500065346.60
762025-10-0125.4567600067152.19
772025-11-0325.4367700068099.44
782025-12-0125.4417800069112.82
792026-01-0225.3367900069827.58

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