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定投民企ETF

總投入

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總資產(chǎn)

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盈虧比例

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盈虧

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總股數(shù)

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日期

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后復權收盤價

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峰值資產(chǎn)

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后復權每月定投

1000

每月定投:民企ETF

總共投入:7.8萬
現(xiàn)有資產(chǎn):10.670萬
定投月數(shù):78月
每月第一天收盤投入,后復權收盤價買入
2019-08-09:收盤價:0.974
2026-01-16:收盤價:1.924
每月定投:1000
猜一猜,定投 民企ETF (159973) 一共能賺多少錢
Guess how much money you can make by dollar-cost averaging 民企ETF ( 159973 ) ?
定投 民企ETF 記錄列表
Id日期后復權收盤價總投入當日資產(chǎn)
12019-08-090.97410001000.00
22019-09-021.06120002089.32
32019-10-081.04430003055.85
42019-11-011.09840004213.91
52019-12-021.07550005125.64
62020-01-021.1660006530.92
72020-02-031.10370007210.00
82020-03-021.2880009367.00
92020-04-011.14190009349.81
102020-05-061.2411000011169.25
112020-06-011.2641100012376.25
122020-07-011.4531200015226.81
132020-08-031.6821300018626.63
142020-09-011.6581400019360.86
152020-10-091.6281500020010.54
162020-11-021.6551600021342.41
172020-12-011.6851700022729.28
182021-01-041.8931800026535.03
192021-02-011.9991900029020.88
202021-03-011.9242000028932.05
212021-04-011.7362100027105.01
222021-05-061.7792200028776.39
232021-06-011.9072300031846.87
242021-07-011.9742400033965.77
252021-08-021.9722500034931.36
262021-09-011.872600034124.56
272021-10-081.8492700034741.34
282021-11-011.9312800037282.06
292021-12-011.9012900037702.85
302022-01-041.8853000038385.52
312022-02-071.8953100039589.16
322022-03-011.6733200035951.27
332022-04-011.5433300034157.69
342022-05-051.3793400031527.19
352022-06-011.4473500034081.83
362022-07-011.6743600040428.46
372022-08-011.6183700040076.01
382022-09-011.5743800039986.18
392022-10-101.3493900035270.24
402022-11-011.5984000042780.47
412022-12-011.3944100038319.13
422023-01-031.384200038934.29
432023-02-011.5284300044109.85
442023-03-011.4564400043031.38
452023-04-031.4354500043410.73
462023-05-041.3724600042504.89
472023-06-011.3054700041429.22
482023-07-031.3564800044048.29
492023-08-011.3584900045113.26
502023-09-011.2825000043588.51
512023-10-091.2275100042718.49
522023-11-011.1795200042047.35
532023-12-011.1385300041585.14
542024-01-021.1185400041854.30
552024-02-010.9915500038099.83
562024-03-011.1245600044213.13
572024-04-011.1615700046668.54
582024-05-061.1865800048673.46
592024-06-031.1475900048072.90
602024-07-011.1066000047354.51
612024-08-011.0886100047583.83
622024-09-021.0416200046528.27
632024-10-081.4796300067105.01
642024-11-011.3346400061526.09
652024-12-021.3796500064601.56
662025-01-021.3016600061947.52
672025-02-051.3256700064090.28
682025-03-031.3886800068137.60
692025-04-011.3526900067370.34
702025-05-061.3067000066078.15
712025-06-031.317100067280.54
722025-07-011.3617200070899.85
732025-08-011.4517300076588.31
742025-09-011.7817400095006.74
752025-10-091.94275000104595.22
762025-11-031.88176000102309.79
772025-12-011.83577000100807.79
782026-01-161.92478000106697.11

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