dca calculator 300072 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:海新能科

Total Investment:18.8万
Total Assets:22.574万
Total Month:188
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2010-04-27:close:55.51
2026-01-16:close:104.62
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 海新能科 ( 300072 ) ?
Fixed Investment in 海新能科 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12010-04-2755.5110001000.00.0
22010-05-0456.520002017.817.8
32010-06-0146.4130002657.5-342.5
42010-07-0138.4740003202.8-797.2
52010-08-0239.6650004301.9-698.1
62010-09-0144.760005848.6-151.4
72010-10-0840.9670006359.2-640.8
82010-11-0145.4580008056.356.3
92010-12-0149.4790009768.9768.9
102011-01-0445.35100009955.3-44.7
112011-02-0138.7110009495.5-1504.5
122011-03-0140.381200010907.7-1092.3
132011-04-0137.611300011159.5-1840.5
142011-05-0329.8140009842.1-4157.9
152011-06-0127.431500010059.4-4940.6
162011-07-0127.851600011213.4-4786.6
172011-08-0127.891700012229.5-4770.5
182011-09-0134.911800016307.7-1692.3
192011-10-1032.271900016074.5-2925.5
202011-11-0138.312000020083.183.1
212011-12-0140.052100021995.3995.3
222012-01-0429.972200017459.4-4540.6
232012-02-0130.572300018808.9-4191.1
242012-03-0135.792400023020.7-979.3
252012-04-0537.652500025217.1217.1
262012-05-0237.312600025989.3-10.7
272012-06-0143.952700031614.64614.6
282012-07-0242.912800031866.53866.5
292012-08-0143.432900033252.74252.7
302012-09-0347.513000037376.67376.6
312012-10-0844.713100036173.85173.8
322012-11-0146.233200038403.66403.6
332012-12-0337.513300032159.8-840.2
342013-01-0446.233400040636.16636.1
352013-02-0163.553500056860.321860.3
362013-03-0198.433600089068.653068.6
372013-04-0188.353700080947.343947.3
382013-05-0291.353800084695.946695.9
392013-06-0389.993900084435.045435.0
402013-07-0185.934000081625.641625.6
412013-08-0186.354100083024.542024.5
422013-09-0286.564200084226.542226.5
432013-10-08108.7143000106779.363779.3
442013-11-0192.024400091385.747385.7
452013-12-0291.814500092177.247177.2
462014-01-0289.114600090466.444466.4
472014-02-07110.2747000112948.565948.5
482014-03-03105.6448000109206.061206.0
492014-04-0195.714900099940.850940.8
502014-05-0595.8150000101045.251045.2
512014-06-0391.245100097225.546225.5
522014-07-01107.252000115232.563232.5
532014-08-01105.4353000114329.961329.9
542014-09-01127.8554000139642.585642.5
552014-12-02140.0155000153924.198924.1
562015-01-05123.3256000136575.480575.4
572015-02-02138.3557000154221.097221.0
582015-03-02163.158000182810.2124810.2
592015-04-01211.8859000238485.1179485.1
602015-05-04234.660000265058.0205058.0
612015-06-01269.6261000305624.7244624.7
622015-07-01226.1562000257349.7195349.7
632015-08-03264.9563000302502.6239502.6
642015-09-01215.6764000247237.9183237.9
652015-10-08224.0665000257856.0192856.0
662015-11-02227.9866000263367.2197367.2
672015-12-01242.7167000281383.7214383.7
682016-01-04213.1768000248136.7180136.7
692016-02-01198.169000231594.8162594.8
702016-03-01189.9970000223113.5153113.5
712016-04-01223.8571000263876.8192876.8
722016-05-03277.8972000328579.7256579.7
732016-06-01273.7673000324696.4251696.4
742016-07-01286.0474000340261.2266261.2
752016-08-01334.7475000399192.7324192.7
762016-09-01455.7876000544538.4468538.4
772016-10-10466.0477000557796.4480796.4
782016-11-01445.7278000534475.7456475.7
792016-12-01480.4379000577097.5498097.5
802017-01-03465.2480000559851.1479851.1
812017-02-03490.7981000591596.9510596.9
822017-03-01477.8182000576950.9494950.9
832017-04-05637.5983000770883.7687883.7
842017-05-02578.2384000700114.0616114.0
852017-06-01513.0385000622170.6537170.6
862017-07-03580.6486000705163.7619163.7
872017-08-01467.4587000568699.1481699.1
882017-09-01492.288000599809.9511809.9
892017-10-09477.1189000582420.8493420.8
902017-11-01538.6990000658593.1568593.1
912017-12-01529.1891000647966.3556966.3
922018-01-02547.1492000670957.9578957.9
932018-02-01567.0693000696385.8603385.8
942018-03-01514.6994000633072.1539072.1
952018-04-02482.0995000593973.8498973.8
962018-05-02423.0896000522268.8426268.8
972018-06-04415.2397000513578.4416578.4
982018-07-10368.5998000456891.6358891.6
992018-08-01376.2699000467399.0368399.0
1002018-09-03272.08100000338984.2238984.2
1012018-10-08287.97101000359781.5258781.5
1022018-11-01231.27102000289942.1187942.1
1032018-12-03228.72103000287745.2184745.2
1042019-01-02199.29104000251720.3147720.3
1052019-02-01157.69105000200175.995175.9
1062019-03-01203.21106000258960.3152960.3
1072019-04-01218.51107000279457.8172457.8
1082019-05-06177.51108000228021.9120021.9
1092019-06-03152.79109000197267.688267.6
1102019-07-01167.5110000217259.7107259.7
1112019-08-01153.96111000200697.489697.4
1122019-09-02132.77112000174074.862074.8
1132019-10-08127.67113000168388.155388.1
1142019-11-01123.16114000163439.849439.8
1152019-12-02120.61115000161055.846055.8
1162020-01-02132.19116000177519.061519.0
1172020-02-03116.29117000157166.840166.8
1182020-03-02123.95118000168519.450519.4
1192020-04-0196.28119000131899.912899.9
1202020-05-0690120000124296.54296.5
1212020-06-0186.08121000119882.7-1117.3
1222020-07-0195.89122000134545.012545.0
1232020-08-03126.5123000178494.555494.5
1242020-09-01132.97124000188623.864623.8
1252020-10-09142.19125000202702.877702.8
1262020-11-02157.5126000225528.499528.4
1272020-12-01141.8127000204047.177047.1
1282021-01-04117.08128000169475.641475.6
1292021-02-01123.16129000179276.550276.5
1302021-03-01137.48130000201121.371121.3
1312021-04-01118.26131000174004.143004.1
1322021-05-06111.58132000165175.333175.3
1332021-06-01125.32133000186515.153515.1
1342021-07-01124.93134000186934.652934.6
1352021-08-02122.77135000184702.649702.6
1362021-09-01133.95136000202522.566522.5
1372021-10-08142.78137000216872.879872.8
1382021-11-01126.1138000192537.054537.0
1392021-12-01150.63139000230990.991990.9
1402022-01-04167.89140000258459.1118459.1
1412022-02-07166.33141000257057.5116057.5
1422022-03-01167.11142000259263.0117263.0
1432022-04-01136.31143000212478.369478.3
1442022-05-0590.79144000142522.3-1477.7
1452022-06-01100.01145000157995.912995.9
1462022-07-01111.58146000177274.231274.2
1472022-08-01106.78147000170648.123648.1
1482022-09-0196.18148000154707.96707.9
1492022-10-1086.77149000140571.7-8428.3
1502022-11-0188.92150000145054.8-4945.2
1512022-12-0192.26151000151503.4503.4
1522023-01-0392.46152000152831.8831.8
1532023-02-0194.02153000156410.43410.4
1542023-03-0190.3154000151221.8-2778.2
1552023-04-0386.57155000145975.4-9024.6
1562023-05-0479.51156000135070.7-20929.3
1572023-06-0178.13157000133726.4-23273.6
1582023-07-0376.17158000131371.7-26628.3
1592023-08-0179.11159000137442.3-21557.7
1602023-09-0172.25160000126524.1-33475.9
1612023-10-0973.62161000129923.2-31076.8
1622023-11-0178.52162000139570.6-22429.4
1632023-12-0179.31163000141974.9-21025.1
1642024-01-0276.56164000138052.0-25948.0
1652024-02-0163.22165000114997.5-50002.5
1662024-03-0160.28166000110649.6-55350.4
1672024-04-0158.12167000107684.7-59315.3
1682024-05-0654.78168000102496.4-65503.6
1692024-06-0351.0616900096536.1-72463.9
1702024-07-0143.817000083810.0-86190.0
1712024-08-0149.6817100096061.2-74938.8
1722024-09-0244.1917200086445.8-85554.2
1732024-10-0898.15173000193003.920003.9
1742024-11-0180.09174000158490.4-15509.6
1752024-12-0295.79175000190559.215559.2
1762025-01-0274.6176000149405.0-26595.0
1772025-02-0568.91177000139009.4-37990.6
1782025-03-0373.23178000148723.9-29276.1
1792025-04-0170.28179000143732.7-35267.3
1802025-05-0665.77180000135509.1-44490.9
1812025-06-0366.56181000138136.8-42863.2
1822025-07-0175.58182000157856.7-24143.3
1832025-08-0174.6183000156809.8-26190.2
1842025-09-0184.61184000178850.9-5149.1
1852025-10-0978.52185000166977.7-18022.3
1862025-11-0388.14186000188435.32435.3
1872025-12-0197.75187000209980.622980.6
1882026-01-16104.62188000225738.337738.3

Stock Fixed Investment 南都电源 金利华电 碧水源 福石控股 海新能科