dca calculator 002896 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:中大力德

Total Investment:10.2万
Total Assets:54.602万
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).
2017-08-29:close:16.92
2026-01-16:close:198.17
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 中大力德 ( 002896 ) ?
Fixed Investment in 中大力德 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12017-08-2916.9210001000.00.0
22017-09-0122.5220002331.0331.0
32017-10-0948.2830005997.32997.3
42017-11-0145.0940006601.02601.0
52017-12-0146.5550007814.82814.8
62018-01-0242.460008118.12118.1
72018-02-0133.6470007440.9440.9
82018-03-0134.1680008555.9555.9
92018-04-0242.35900011607.22607.2
102018-05-02421000012511.32511.3
112018-06-0142.461100013648.32648.3
122018-07-0249.231200016824.44824.4
132018-08-0139.931300014646.11646.1
142018-09-0331.61400012590.7-1409.3
152018-10-0830.061500012977.1-2022.9
162018-11-0130.941600014357.0-1643.0
172018-12-0333.071700016345.4-654.6
182019-01-0231.231800016436.0-1564.0
192019-02-0128.911900016215.0-2785.0
202019-03-0133.292000019671.6-328.4
212019-04-0135.582100022024.81024.8
222019-05-0628.022200018345.0-3655.0
232019-06-0328.072300019377.7-3622.3
242019-07-0128.532400020695.3-3304.7
252019-08-0123.872500018315.0-6685.0
262019-09-0223.862600019307.3-6692.7
272019-10-0822.892700019522.4-7477.6
282019-11-0122.12800019848.6-8151.4
292019-12-0220.222900019160.1-9839.9
302020-01-0222.933000022728.1-7271.9
312020-02-0320.843100021656.5-9343.5
322020-03-0225.633200027634.2-4365.8
332020-04-0120.043300022607.1-10392.9
342020-05-0620.663400024306.5-9693.5
352020-06-0122.193500027106.5-7893.5
362020-07-0123.343600029511.3-6488.7
372020-08-0330.063700039008.22008.2
382020-09-0132.353800042979.84979.8
392020-10-0929.383900040033.91033.9
402020-11-0235.094000048814.58814.5
412020-12-0133.124100047074.06074.0
422021-01-0429.784200043326.81326.8
432021-02-0127.334300040762.3-2237.7
442021-03-0124.694400037824.8-6175.2
452021-04-0123.424500036879.2-8120.8
462021-05-0625.934600041831.6-4168.4
472021-06-0124.974700041282.9-5717.1
482021-07-0125.64800043324.5-4675.5
492021-08-02284900048386.2-613.8
502021-09-0131.385000055227.15227.1
512021-10-0828.95100051862.4862.4
522021-11-0127.655200050619.2-1380.8
532021-12-0135.615300066191.713191.7
542022-01-0431.875400060239.86239.8
552022-02-0729.075500055947.3947.3
562022-03-0129.685600058121.32121.3
572022-04-0125.575700051072.8-5927.2
582022-05-0522.335800045601.3-12398.7
592022-06-0124.545900051114.5-7885.5
602022-07-0135.216000074339.114339.1
612022-08-0172.7461000154576.493576.4
622022-09-0150.2562000107784.045784.0
632022-10-1042.126300091345.528345.5
642022-11-0144.256400096964.832964.8
652022-12-0144.476500098446.933446.9
662023-01-0340.96600091543.725543.7
672023-02-0147.8567000108099.441099.4
682023-03-0147.0568000107292.139292.1
692023-04-0345.8569000105555.636555.6
702023-05-0439.137000091084.921084.9
712023-06-0147.2671000111009.540009.5
722023-07-0371.5672000169088.097088.0
732023-08-0154.2273000129115.656115.6
742023-09-0163.774000152690.678690.6
752023-10-0965.6175000158268.983268.9
762023-11-0162.1376000150874.274874.2
772023-12-0165.3477000159669.382669.3
782024-01-0261.7178000151798.873798.8
792024-02-0147.7179000118360.539360.5
802024-03-0157.580000143647.963647.9
812024-04-0161.3381000154216.173216.1
822024-05-0659.1282000149659.067659.0
832024-06-0355.3583000141115.458115.4
842024-07-0148.4984000124625.840625.8
852024-08-0149.0885000127142.242142.2
862024-09-0245.2486000118194.632194.6
872024-10-0859.5987000156685.669685.6
882024-11-0151.3688000136045.748045.7
892024-12-0262.9689000167772.578772.5
902025-01-0266.2990000177646.187646.1
912025-02-05101.6991000273512.2182512.2
922025-03-03160.6492000433068.1341068.1
932025-04-01147.8393000399533.7306533.7
942025-05-06157.0494000425425.2331425.2
952025-06-03127.1695000345479.5250479.5
962025-07-01128.3396000349658.3253658.3
972025-08-01174.1697000475530.4378530.4
982025-09-01203.7198000557214.4459214.4
992025-10-09213.9299000586142.2487142.2
1002025-11-03201.05100000551878.3451878.3
1012025-12-01189.3101000520624.8419624.8
1022026-01-16198.17102000546019.6444019.6

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