dca calculator 002895 stock

Total Investment

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Total Assets

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Profit&Loss Ratio

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Profit&Loss

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Total Shares

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Date

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Adjusted Closing Price

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(Post Split)

Peak Assets

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Monthly DCA

1000

Monthly DCA:川恒股份

Total Investment:10.2万
Total Assets:23.633万
Total Month:102
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2017-08-25:close:10.12
2026-01-16:close:42.74
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 川恒股份 ( 002895 ) ?
Fixed Investment in 川恒股份 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12017-08-2510.1210001000.00.0
22017-09-0116.2920002609.7609.7
32017-10-0931.8330006099.23099.2
42017-11-0124.8840005767.51767.5
52017-12-0123.3550006412.81412.8
62018-01-0227.1660008459.22459.2
72018-02-0129.47700010178.63178.6
82018-03-0122.8780008899.1899.1
92018-04-0226.02900011124.82124.8
102018-05-0222.541000010636.9636.9
112018-06-0122.771100011745.4745.4
122018-07-0221.291200011982.0-18.0
132018-08-0119.861300012177.2-822.8
142018-09-0313.51140009283.7-4716.3
152018-10-0811.91150009184.2-5815.8
162018-11-0111.711600010030.0-5970.0
172018-12-0312.251700011492.5-5507.5
182019-01-0212.411800012642.6-5357.4
192019-02-0112.381900013612.1-5387.9
202019-03-0113.92000016283.3-3716.7
212019-04-0114.372100017833.9-3166.1
222019-05-0616.162200021055.4-944.6
232019-06-0312.362300017104.3-5895.7
242019-07-0112.672400018533.2-5466.8
252019-08-0113.242500020367.0-4633.0
262019-09-0212.632600020428.7-5571.3
272019-10-0812.132700020619.9-6380.1
282019-11-0112.752800022673.9-5326.1
292019-12-0212.282900022838.1-6161.9
302020-01-0212.93000024991.1-5008.9
312020-02-0311.213100022717.1-8282.9
322020-03-0212.133200025581.5-6418.5
332020-04-0111.043300024282.7-8717.3
342020-05-0612.053400027504.2-6495.8
352020-06-0111.933500028230.3-6769.7
362020-07-0113.553600033063.8-2936.2
372020-08-0314.523700036430.7-569.3
382020-09-0114.263800036778.4-1221.6
392020-10-0912.843900034116.0-4884.0
402020-11-0211.894000032591.9-7408.1
412020-12-0113.314100037484.2-3515.8
422021-01-0411.964200034682.3-7317.7
432021-02-0111.274300033681.4-9318.6
442021-03-0112.74400038955.1-5044.9
452021-04-0111.714500036918.4-8081.6
462021-05-0610.74600034734.2-11265.8
472021-06-0111.464700038201.3-8798.7
482021-07-0115.774800053568.45568.4
492021-08-0220.754900071484.822484.8
502021-09-0135.1550000122093.572093.5
512021-10-0833.8251000118473.767473.7
522021-11-0142.2552000149004.697004.6
532021-12-0133.8653000120415.367415.3
542022-01-0425.25400090618.036618.0
552022-02-0723.85500086583.631583.6
562022-03-0126.155600096132.940132.9
572022-04-0122.085700082170.725170.7
582022-05-0527.4358000103080.745080.7
592022-06-0134.959000132152.773152.7
602022-07-0136.560000139211.279211.2
612022-08-0131.561000121141.260141.2
622022-09-0127.7762000107796.545796.5
632022-10-1023.76300092997.829997.8
642022-11-0122.956400091054.827054.8
652022-12-0125.1665000100823.035823.0
662023-01-0326.6366000107713.741713.7
672023-02-0131.0767000126672.859672.8
682023-03-0132.7368000134440.666440.6
692023-04-0326.369000109029.040029.0
702023-05-0423.187000097094.727094.7
712023-06-0120.897100088502.517502.5
722023-07-0321.557200092298.720298.7
732023-08-0123.037300099637.526637.5
742023-09-0119.247400084240.410240.4
752023-10-0919.477500086247.411247.4
762023-11-0120.477600091677.215677.2
772023-12-0120.257700091691.914691.9
782024-01-0220.747800094910.616910.6
792024-02-0116.427900076141.4-2858.6
802024-03-0119.188000089939.89939.8
812024-04-0120.528100097223.416223.4
822024-05-0622.6482000108267.926267.9
832024-06-0323.0283000111085.128085.1
842024-07-0121.8584000106439.222439.2
852024-08-0119.518500096040.211040.2
862024-09-0220.4386000101569.015569.0
872024-10-0825.3687000127078.840078.8
882024-11-0124.1588000122015.534015.5
892024-12-0225.6389000130493.141493.1
902025-01-0226.3590000135158.945158.9
912025-02-0524.4591000126413.135413.1
922025-03-0325.5692000133152.141152.1
932025-04-0126.6793000139934.546934.5
942025-05-0625.5294000134900.640900.6
952025-06-0327.3895000145732.750732.7
962025-07-0127.2496000145987.549987.5
972025-08-0128.6597000154544.257544.2
982025-09-0130.9498000167896.969896.9
992025-10-0935.3399000192719.493719.4
1002025-11-0338.64100000211774.9111774.9
1012025-12-0139.5101000217488.3116488.3
1022026-01-1642.74102000236327.8134327.8

Stock Fixed Investment 中宠股份 科力尔 京能热力 川恒股份