dca calculator 300677 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:英科医疗

Total Investment:10.3万
Total Assets:29.151万
Total Month:103
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2017-07-21:close:29.36
2026-01-16:close:240.22
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 英科医疗 ( 300677 ) ?
Fixed Investment in 英科医疗 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12017-07-2129.3610001000.00.0
22017-08-0140.820002389.6389.6
32017-09-0144.7830003622.8622.8
42017-10-0943.8640004548.3548.3
52017-11-0160.1550007237.62237.6
62017-12-0157.4260007909.11909.1
72018-01-0255.0570008582.71582.7
82018-02-0164.32800011027.93027.9
92018-03-0173.5900013601.94601.9
102018-04-0268.081000013598.93598.9
112018-05-0257.811100012547.41547.4
122018-06-0147.431200011294.5-705.5
132018-07-0250.731300013080.380.3
142018-08-0143.171400012131.0-1869.0
152018-09-0334.351500010652.6-4347.4
162018-10-0834.031600011553.3-4446.7
172018-11-0133.111700012241.0-4759.0
182018-12-0334.691800013825.1-4174.9
192019-01-0229.511900012760.7-6239.3
202019-02-0130.472000014175.8-5824.2
212019-03-0136.972100018199.9-2800.1
222019-04-0139.432200020410.9-1589.1
232019-05-0634.532300018874.4-4125.6
242019-06-0332.752400018901.5-5098.5
252019-07-0134.572500020951.9-4048.1
262019-08-0132.812600020885.2-5114.8
272019-09-0232.892700021936.1-5063.9
282019-10-0831.612800022082.4-5917.6
292019-11-0131.932900023306.0-5694.0
302019-12-0230.993000023619.9-6380.1
312020-01-0234.993100027668.6-3331.4
322020-02-0352.393200042427.710427.7
332020-03-0289.893300073796.940796.9
342020-04-0191.653400076241.842241.8
352020-05-06108.453500091217.456217.4
362020-06-01179.2336000151750.4115750.4
372020-07-01245.8537000209156.3172156.3
382020-08-03351.2938000299859.1261859.1
392020-09-01296.7539000254304.1215304.1
402020-10-09310.4340000267027.3227027.3
412020-11-02353.5641000305127.1264127.1
422020-12-01384.8542000333130.8291130.8
432021-01-04488.5343000423877.5380877.5
442021-02-01712.8744000619528.1575528.1
452021-03-01666.5845000580299.2535299.2
462021-04-01516.2546000450427.6404427.6
472021-05-06487.647000426430.5379430.5
482021-06-01438.748000384665.0336665.0
492021-07-01376.7549000331345.5282345.5
502021-08-02359.550000317174.4267174.4
512021-09-01319.3651000282760.2231760.2
522021-10-08268.6952000238897.2186897.2
532021-11-01243.8153000217775.9164775.9
542021-12-01291.7854000261623.7207623.7
552022-01-04271.0755000244054.1189054.1
562022-02-07250.0256000226102.1170102.1
572022-03-01240.3457000218348.1161348.1
582022-04-01217.5358000198625.3140625.3
592022-05-05139.9559000128787.569787.5
602022-06-01133.2460000123612.763612.7
612022-07-01148.161000138398.977398.9
622022-08-01137.5262000129512.067512.0
632022-09-01133.2563000126490.663490.6
642022-10-10119.9764000114884.350884.3
652022-11-01131.7465000127155.362155.3
662022-12-01142.3866000138425.072425.0
672023-01-03129.7467000127136.260136.2
682023-02-01147.7868000145814.177814.1
692023-03-01152.8569000151816.682816.6
702023-04-03153.6170000153571.583571.5
712023-05-04132.8271000133786.762786.7
722023-06-01137.0372000139027.467027.4
732023-07-03133.6373000136577.863577.8
742023-08-01133.374000137240.563240.5
752023-09-01130.675000135460.760460.7
762023-10-09138.676000144758.568758.5
772023-11-01132.4477000139324.762324.7
782023-12-01125.9178000133455.355455.3
792024-01-02143.2479000152823.873823.8
802024-02-01119.1680000128132.748132.7
812024-03-01128.6681000139348.058348.0
822024-04-01139.1482000151698.669698.6
832024-05-06168.0383000184196.2101196.2
842024-06-03152.184000167733.683733.6
852024-07-01165.3885000183378.598378.5
862024-08-01159.2886000177614.791614.7
872024-09-02157.3387000176440.289440.2
882024-10-08196.5988000221469.0133469.0
892024-11-01152.3789000172652.883652.8
902024-12-02158.5890000180689.590689.5
912025-01-02146.791000168153.177153.1
922025-02-05160.9592000185487.093487.0
932025-03-03149.6193000173418.280418.2
942025-04-01148.6994000173351.879351.8
952025-05-06137.1495000160886.165886.1
962025-06-03142.9796000168725.672725.6
972025-07-01147.5197000175083.578083.5
982025-08-01217.2298000258824.1160824.1
992025-09-01212.4199000254092.8155092.8
1002025-10-09214.36100000257425.5157425.5
1012025-11-03223.92101000269906.1168906.1
1022025-12-01250.97102000303511.3201511.3
1032026-01-16240.22103000291510.8188510.8

Stock Fixed Investment