dca calculator 300517 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:海波重科

Total Investment:11.5万
Total Assets:12.566万
Total Month:115
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2016-07-19:close:14.46
2026-01-16:close:22.16
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 海波重科 ( 300517 ) ?
Fixed Investment in 海波重科 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12016-07-1914.4610001000.00.0
22016-08-0134.1120003358.91358.9
32016-09-0165.1330007413.64413.6
42016-10-1052.1840006939.52939.5
52016-11-0153.950008168.23168.2
62016-12-0160.79600010212.44212.4
72017-01-0348.7870009194.82194.8
82017-02-0338.7980008311.7311.7
92017-03-0142.1900010021.01021.0
102017-04-0541.551000010890.0890.0
112017-05-0232.35110009478.8-1521.2
122017-06-0127.13120008949.3-3050.7
132017-07-0329.061300010585.9-2414.1
142017-08-0124.2140009815.5-4184.5
152017-09-0125.431500011314.4-3685.6
162017-10-0925.471600012332.2-3667.8
172017-11-0124.481700012852.9-4147.1
182017-12-0121.691800012388.0-5612.0
192018-01-0219.641900012217.2-6782.8
202018-02-0118.442000012470.7-7529.3
212018-03-0116.012100011827.3-9172.7
222018-04-0222.112200017333.7-4666.3
232018-05-0220.792300017298.8-5701.2
242018-06-0124.632400021494.0-2506.0
252018-07-0222.52500020635.2-4364.8
262018-08-0126.612600025404.6-595.4
272018-09-0315.072700015387.3-11612.7
282018-10-0814.22800015499.0-12501.0
292018-11-0113.192900015396.6-13603.4
302018-12-0313.63000016875.2-13124.8
312019-01-0213.393100017614.6-13385.4
322019-02-0112.583200017549.1-14450.9
332019-03-0114.773300021604.1-11395.9
342019-04-0116.823400025602.7-8397.3
352019-05-0613.983500022279.7-12720.3
362019-06-0314.573600024220.0-11780.0
372019-07-0116.553700028511.4-8488.6
382019-08-0115.193800027168.5-10831.5
392019-09-0214.383900026719.7-12280.3
402019-10-0815.144000029131.9-10868.1
412019-11-0114.84100029477.7-11522.3
422019-12-0213.824200028525.8-13474.2
432020-01-0215.514300033014.1-9985.9
442020-02-0313.774400030310.4-13689.6
452020-03-0214.664500033269.5-11730.5
462020-04-0115.944600037174.3-8825.7
472020-05-0615.764700037754.5-9245.5
482020-06-0116.034800039401.3-8598.7
492020-07-0117.414900043793.3-5206.7
502020-08-0319.245000049396.5-603.5
512020-09-0118.795100049241.2-1758.8
522020-10-0920.725200055299.03299.0
532020-11-0222.575300061236.48236.4
542020-12-0120.085400055480.61480.6
552021-01-0416.195500045732.6-9267.4
562021-02-0117.645600050828.5-5171.5
572021-03-0118.065700053038.7-3961.3
582021-04-0120.95800062379.24379.2
592021-05-0624.355900073676.214676.2
602021-06-0123.256000071348.011348.0
612021-07-0120.266100063172.52172.5
622021-08-0227.786200087620.525620.5
632021-09-0123.016300073575.510575.5
642021-10-0821.476400069651.35651.3
652021-11-0123.776500078112.713112.7
662021-12-0125.326600084206.318206.3
672022-01-0424.296700081780.914780.9
682022-02-0722.86800077764.39764.3
692022-03-0124.986900086199.617199.6
702022-04-0124.517000085577.815577.8
712022-05-0519.867100070342.1-657.9
722022-06-0123.867200085509.713509.7
732022-07-0123.087300083714.310714.3
742022-08-0125.647400093999.819999.8
752022-09-0128.6375000105961.530961.5
762022-10-1022.997600086087.510087.5
772022-11-0123.897700090457.613457.6
782022-12-0124.687800094448.916448.9
792023-01-0331.2779000120668.441668.4
802023-02-0127.7380000108007.928007.9
812023-03-0126.5481000104372.823372.8
822023-04-0325.6482000101833.419833.4
832023-05-0423.158300092944.09944.0
842023-06-0123.678400096031.712031.7
852023-07-0325.2285000103320.218320.2
862023-08-0127.0286000111694.425694.4
872023-09-0123.178700096779.49779.4
882023-10-0924.5988000103710.615710.6
892023-11-0123.368900099523.010523.0
902023-12-0123.6990000101928.911928.9
912024-01-0225.5191000110759.719759.7
922024-02-0116.619200073117.5-18882.5
932024-03-0115.269300068174.8-24825.2
942024-04-0116.049400072659.5-21340.5
952024-05-0615.529500071304.0-23696.0
962024-06-0316.969600078919.8-17080.2
972024-07-0115.59700073126.0-23874.0
982024-08-0117.939800085590.3-12409.7
992024-09-0215.89900076422.5-22577.5
1002024-10-0820.1810000098608.0-1392.0
1012024-11-0116.6710100082456.7-18543.3
1022024-12-0218.1610200090826.8-11173.2
1032025-01-0215.2710300077372.6-25627.4
1042025-02-0516.2710400083439.5-20560.5
1052025-03-0316.7210500086747.3-18252.7
1062025-04-0117.3210600090860.3-15139.7
1072025-05-0617.3710700092122.6-14877.4
1082025-06-0319.78108000105904.1-2095.9
1092025-07-0120.32109000109795.3795.3
1102025-08-0122.63110000123277.013277.0
1112025-09-0121.76111000119537.68537.6
1122025-10-0922.65112000125426.813426.8
1132025-11-0323.33113000130192.417192.4
1142025-12-0122.21114000124942.310942.3
1152026-01-1622.16115000125661.010661.0

Stock Fixed Investment 久之洋 海波重科