dca calculator 300112 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:万讯自控

Total Investment:18.0万
Total Assets:21.769万
Total Month:180
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2010-08-27:close:25.1
2026-01-16:close:35.26
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 万讯自控 ( 300112 ) ?
Fixed Investment in 万讯自控 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12010-08-2725.110001000.00.0
22010-09-0124.4820001975.3-24.7
32010-10-0824.9330003011.611.6
42010-11-0125.0740004028.528.5
52010-12-0126.5850005271.2271.2
62011-01-0425.7260006100.6100.6
72011-02-0123.0670006469.7-530.3
82011-03-0123.9580007719.4-280.6
92011-04-0122.9890008406.7-593.3
102011-05-0320.98100008675.1-1324.9
112011-06-0118.9110008815.0-2185.0
122011-07-0118.95120009838.3-2161.7
132011-08-0119.231300010983.7-2016.3
142011-09-0119.431400012097.9-1902.1
152011-10-1016.821500011472.8-3527.2
162011-11-0117.71600013073.1-2926.9
172011-12-0117.661700014043.5-2956.5
182012-01-0414.041800012164.9-5835.1
192012-02-0113.381900012593.0-6407.0
202012-03-0115.422000015513.0-4487.0
212012-04-0515.842100016935.5-4064.5
222012-05-0215.832200017924.9-4075.1
232012-06-0116.322300019479.7-3520.3
242012-07-0217.222400021553.9-2446.1
252012-08-0114.722500019424.7-5575.3
262012-09-0315.982600022087.5-3912.5
272012-10-0815.62700022562.2-4437.8
282012-11-0115.892800023981.7-4018.3
292012-12-0318.082900028286.9-713.1
302013-01-0418.823000030444.6444.6
312013-02-0118.933100031622.6622.6
322013-03-0119.833200034126.02126.0
332013-04-0118.683300033146.9146.9
342013-05-0216.033400029444.6-4555.4
352013-06-0319.013500035918.4918.4
362013-07-0116.223600031646.9-4353.1
372013-08-0119.33700038656.31656.3
382013-09-0218.673800038394.4394.4
392013-10-0819.863900041841.62841.6
402013-11-0119.534000042146.42146.4
412013-12-0222.884100050375.89375.8
422014-01-0235.934200080108.538108.5
432014-02-0734.64300078143.135143.1
442014-03-0332.714400074874.630874.6
452014-04-0127.874500064795.619795.6
462014-05-0525.224600059634.613634.6
472014-06-0326.964700064749.017749.0
482014-07-0131.594800076868.728868.7
492014-08-0130.374900074900.025900.0
502014-09-0136.725000091560.741560.7
512015-01-2340.8751000102908.751908.7
522015-02-0236.555200093031.141031.1
532015-03-0239.7953000102277.949277.9
542015-04-0151.854000134149.080149.0
552015-05-0455.8255000145559.790559.7
562015-06-0195.2456000249353.8193353.8
572015-10-1467.6257000178040.2121040.2
582015-11-0257.458000152131.494131.4
592015-12-0161.6859000164475.0105475.0
602016-01-0459.3960000159368.599368.5
612016-02-0139.7561000107666.146666.1
622016-03-013962000106634.644634.6
632016-04-0147.7863000131641.168641.1
642016-05-0348.5264000134679.970679.9
652016-06-0144.7465000125187.560187.5
662016-07-0158.466000164409.898409.8
672016-08-0148.6567000137961.270961.2
682016-09-0150.1768000143271.675271.6
692016-10-1051.7969000148897.979897.9
702016-11-0153.6570000155245.485245.4
712016-12-0151.0171000148606.277606.2
722017-01-0349.4972000145178.073178.0
732017-02-0345.2873000133828.060828.0
742017-03-0146.974000139616.065616.0
752017-04-0546.2975000138800.163800.1
762017-05-0241.6676000125917.149917.1
772017-06-0135.8377000109296.032296.0
782017-07-0340.3578000124083.846083.8
792017-08-0136.2779000112537.033537.0
802017-09-0138.980000121697.341697.3
812017-10-0940.2281000126826.945826.9
822017-11-0139.2182000124642.042642.0
832017-12-0137.1583000119093.636093.6
842018-01-0235.2684000114034.730034.7
852018-02-0132.6385000106529.021529.0
862018-03-0132.4986000107072.021072.0
872018-04-0236.0787000119870.032870.0
882018-05-0233.188000110999.922999.9
892018-06-0130.4389000103046.114046.1
902018-07-0229.2590000100050.310050.3
912018-08-0129.2591000101050.310050.3
922018-09-0328.19200098077.36077.3
932018-10-0824.029300084836.9-8163.1
942018-11-0124.739400088344.6-5655.4
952018-12-0324.969500090166.2-4833.8
962019-01-0222.239600081304.3-14695.7
972019-02-0123.729700087753.9-9246.1
982019-03-0127.1998000101591.43591.4
992019-04-0131.2499000117723.618723.6
1002019-05-0626.75100000101803.71803.7
1012019-06-0327.83101000106913.95913.9
1022019-07-0129.99102000116211.914211.9
1032019-08-0128.31103000110701.87701.8
1042019-09-0228.27104000111545.47545.4
1052019-10-0827.77105000110572.65572.6
1062019-11-0127.02106000108586.32586.3
1072019-12-0226.18107000106210.5-789.5
1082020-01-0234.11108000139382.031382.0
1092020-02-0327.97109000115292.46292.4
1102020-03-0231.68110000131585.121585.1
1112020-04-0127.87111000116760.05760.0
1122020-05-0626.48112000111936.6-63.4
1132020-06-0127.39113000116783.43783.4
1142020-07-0127.53114000118380.34380.3
1152020-08-0330.87115000133742.518742.5
1162020-09-0133.27116000145140.429140.4
1172020-10-0932.93117000144657.127657.1
1182020-11-0240.05118000176934.358934.3
1192020-12-0135.97119000159909.640909.6
1202021-01-0433.03120000147839.427839.4
1212021-02-0130.23121000136306.815306.8
1222021-03-0133.84122000153584.331584.3
1232021-04-0130.63123000140015.617015.6
1242021-05-0629.15124000134250.210250.2
1252021-06-0130.8125000142849.317849.3
1262021-07-0132.29126000150759.824759.8
1272021-08-0237.99127000178372.851372.8
1282021-09-0140.25128000189984.061984.0
1292021-10-0836.95129000175407.746407.7
1302021-11-0142.24130000201520.271520.2
1312021-12-0144.54131000213493.182493.1
1322022-01-0449.26132000237117.4105117.4
1332022-02-0739133000188730.055730.0
1342022-03-0139.51134000192198.058198.0
1352022-04-0134.45135000168583.433583.4
1362022-05-0530.77136000151575.115575.1
1372022-06-0133.67137000166860.729860.7
1382022-07-0137.72138000187931.649931.6
1392022-08-0141.13139000205921.166921.1
1402022-09-0136.74140000184942.244942.2
1412022-10-1031.95141000161830.220830.2
1422022-11-0137.69142000191904.049904.0
1432022-12-0137.18143000190307.247307.2
1442023-01-0335.16144000180967.836967.8
1452023-02-0140.86145000211305.666305.6
1462023-03-0140.52146000210547.364547.3
1472023-04-0342.92147000224018.077018.0
1482023-05-0435.16148000184515.236515.2
1492023-06-0138.53149000203200.554200.5
1502023-07-0340.22150000213113.363113.3
1512023-08-0137.89151000201767.450767.4
1522023-09-0138.57152000206388.454388.4
1532023-10-0940.25153000216378.163378.1
1542023-11-0136.71154000198347.644347.6
1552023-12-0140.15155000217934.262934.2
1562024-01-0242.18156000229953.173953.1
1572024-02-0129.89157000163951.66951.6
1582024-03-0133.74158000186069.528069.5
1592024-04-0133.77159000187234.928234.9
1602024-05-0630.9160000172322.412322.4
1612024-06-0329.15161000163563.12563.1
1622024-07-0128162000158110.3-3889.7
1632024-08-0128.81163000163684.2684.2
1642024-09-0228.27164000161616.2-2383.8
1652024-10-0837.35165000214525.549525.5
1662024-11-0132.73166000188989.822989.8
1672024-12-0237.32167000216493.449493.4
1682025-01-0234.58168000201598.733598.7
1692025-02-0534.58169000202598.733598.7
1702025-03-0336.98170000217659.947659.9
1712025-04-0134.21171000202356.031356.0
1722025-05-0632.66172000194187.622187.6
1732025-06-0333.17173000198219.925219.9
1742025-07-0135.16174000211111.937111.9
1752025-08-0136.41175000219617.344617.3
1762025-09-0135.06176000212474.436474.4
1772025-10-0934.31177000208929.231929.2
1782025-11-0335.66178000218149.940149.9
1792025-12-0135.6179000218782.939782.9
1802026-01-1635.26180000217693.437693.4

Stock Fixed Investment 向日葵 万讯自控