dca calculator 300521 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:爱司凯

Total Investment:11.5万
Total Assets:24.645万
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).
2016-07-05:close:16.21
2026-01-16:close:56.58
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 爱司凯 ( 300521 ) ?
Fixed Investment in 爱司凯 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12016-07-0516.2110001000.00.0
22016-08-0180.320005953.73953.7
32016-09-0187.1630007462.44462.4
42016-10-1070.3140007019.73019.7
52016-11-0172.1750008205.43205.4
62016-12-0175.7560009612.43612.4
72017-01-0361.1670008761.01761.0
82017-02-0348.0780007885.9-114.1
92017-03-0156.39900010250.81250.8
102017-04-0565.511000012908.72908.7
112017-05-0249.51100010753.9-246.1
122017-06-0147.31200011276.0-724.0
132017-07-0351.681300013320.1320.1
142017-08-0135.371400010116.4-3883.6
152017-09-0139.931500012420.6-2579.4
162017-10-0937.21600012571.4-3428.6
172017-11-0134.661700012713.0-4287.0
182017-12-0129.781800011923.1-6076.9
192018-01-0230.791900013327.5-5672.5
202018-02-0123.252000011063.8-8936.2
212018-03-0123.232100012054.2-8945.8
222018-04-0225.532200014247.7-7752.3
232018-05-0223.632300014187.4-8812.6
242018-06-0123.932400015367.5-8632.5
252018-07-0220.912500014428.1-10571.9
262018-08-0120.912600015428.1-10571.9
272018-09-0317.562700013956.4-13043.6
282018-10-0815.672800013454.2-14545.8
292018-11-0116.232900014935.0-14065.0
302018-12-0317.093000016726.4-13273.6
312019-01-0216.13100016757.5-14242.5
322019-02-0115.443200017070.5-14929.5
332019-03-0120.493300023653.8-9346.2
342019-04-0123.033400027586.0-6414.0
352019-05-0617.383500021818.3-13181.7
362019-06-0318.233600023885.4-12114.6
372019-07-0119.033700025933.5-11066.5
382019-08-0119.353800027369.6-10630.4
392019-09-0219.263900028242.3-10757.7
402019-10-0820.164000030562.0-9438.0
412019-11-0119.154100030030.9-10969.1
422019-12-0217.54200028443.4-13556.6
432020-01-0219.64300032856.6-10143.4
442020-02-0317.254400029917.2-14082.8
452020-03-0218.44500032911.6-12088.4
462020-04-0118.24600033553.9-12446.1
472020-05-2018.944700035918.2-11081.8
482020-06-0140.34800077425.729425.7
492020-07-0137.344900072738.923738.9
502020-08-0349.25000096842.346842.3
512020-09-0140.675100081052.430052.4
522020-10-0943.445200087572.835572.8
532020-11-0241.645300084944.131944.1
542020-12-0140.965400084556.930556.9
552021-01-0435.165500073583.518583.5
562021-02-0130.415600064642.68642.6
572021-03-0131.475700067895.910895.9
582021-04-0135.25800076943.318943.3
592021-05-0636.355900080457.021457.0
602021-06-0136.986000082851.522851.5
612021-07-0129.086100066152.05152.0
622021-08-0232.376200074636.212636.2
632021-09-0136.196300084444.021444.0
642021-10-0828.686400067920.63920.6
652021-11-0122.476500054213.9-10786.1
662021-12-0125.666600062910.5-3089.5
672022-01-0426.076700064915.7-2084.3
682022-02-0723.796800060238.4-7761.6
692022-03-0129.876900076633.57633.5
702022-04-0124.837000064703.0-5297.0
712022-05-0519.817100052621.7-18378.3
722022-06-0120.197200054631.1-17368.9
732022-07-0120.667300056902.8-16097.2
742022-08-0122.47400062695.2-11304.8
752022-09-0121.147500060168.6-14831.4
762022-10-1017.527600050865.4-25134.6
772022-11-0120.157700059501.0-17499.0
782022-12-0119.777800059378.9-18621.1
792023-01-0319.147900058486.7-20513.3
802023-02-0125.148000077821.1-2178.9
812023-03-0126.428100082783.41783.4
822023-04-0323.038200073161.3-8838.7
832023-05-0424.358300078354.6-4645.4
842023-06-0124.118400078582.3-5417.7
852023-07-0323.258500076779.3-8220.7
862023-08-0124.178600080817.5-5182.5
872023-09-0123.818700080613.7-6386.3
882023-10-0925.78800088012.712.7
892023-11-0125.828900089423.7423.7
902023-12-0126.349000092224.62224.6
912024-01-0225.79100090983.8-16.2
922024-02-0118.869200067768.6-24231.4
932024-03-0117.619300064277.1-28722.9
942024-04-0120.699400076519.2-17480.8
952024-05-0617.699500066424.1-28575.9
962024-06-0318.629600070916.1-25083.9
972024-07-0119.229700074201.3-22798.7
982024-08-0120.339800079486.6-18513.4
992024-09-0224.089900095148.4-3851.6
1002024-10-0826.79100000106856.66856.6
1012024-11-0125.14101000101275.2275.2
1022024-12-0231.17102000126566.824566.8
1032025-01-0238.08103000155625.152625.1
1042025-02-0536.39104000149718.445718.4
1052025-03-0337.77105000156396.151396.1
1062025-04-0142.78106000178141.372141.3
1072025-05-0640.28107000168730.961730.9
1082025-06-0340.55108000170862.062862.0
1092025-07-0141.97109000177845.368845.3
1102025-08-0143.57110000185625.275625.2
1112025-09-0146.5111000199108.188108.1
1122025-10-0954.86112000235904.8123904.8
1132025-11-0350.57113000218457.2105457.2
1142025-12-0155.04114000238767.2124767.2
1152026-01-1656.58115000246447.8131447.8

Stock Fixed Investment 久之洋 海波重科 新迅达 新光药业 科大国创 爱司凯