dca calculator 601012 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:隆基绿能

Total Investment:16.6万
Total Assets:93.787万
Total Month:166
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2012-04-11:close:19.75
2026-01-16:close:374.21
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 隆基绿能 ( 601012 ) ?
Fixed Investment in 隆基绿能 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12012-04-1119.7510001000.00.0
22012-05-0218.1520001919.0-81.0
32012-06-0117.2130002819.6-180.4
42012-07-0215.8640003598.4-401.6
52012-08-0111.5450003618.3-1381.7
62012-09-0312.0360004771.9-1228.1
72012-10-0811.8570005700.5-1299.5
82012-11-0112.180006820.8-1179.2
92012-12-0310.4390006879.4-2120.6
102013-01-0413.61100009976.8-23.2
112013-02-0115.341100012245.01245.0
122013-03-0115.541200013404.71404.7
132013-04-0113.251300012429.3-570.7
142013-05-0213.61400013757.7-242.3
152013-06-0317.091500018288.13288.1
162013-07-0117.721600019962.33962.3
172013-08-0121.531700025254.48254.4
182013-09-0226.021800031521.113521.1
192013-10-0833.471900041546.222546.2
202013-11-0128.192000035992.215992.2
212013-12-0228.752100037707.116707.1
222014-01-1327.012200036425.014425.0
232014-02-0727.912300038638.815638.8
242014-03-0322.542400032204.58204.5
252014-04-0124.182500035547.710547.7
262014-05-0524.542600037076.911076.9
272014-06-0324.142700037472.610472.6
282014-07-0129.42800046637.718637.7
292014-08-0128.842900046749.417749.4
302014-09-0135.883000059161.129161.1
312014-10-0837.613100063013.732013.7
322014-11-0335.413200060327.728327.7
332014-12-0131.23300054155.121155.1
342015-01-0538.43400067652.533652.5
352015-02-0246.123500082253.447253.4
362015-03-02513600091956.755956.7
372015-04-01102.5937000185977.3148977.3
382015-05-0497.438000177568.8139568.8
392015-06-01110.0439000201612.6162612.6
402015-07-0177.4840000142957.0102957.0
412015-08-0365.1141000121133.380133.3
422015-09-0147.944200090189.548189.5
432015-10-0852.214300099222.756222.7
442015-11-0264.344000123199.279199.2
452015-12-0176.3445000147267.9102267.9
462016-01-0467.2246000130674.484674.4
472016-02-0155.3447000108579.961579.9
482016-03-0159.0148000116780.768780.7
492016-04-0168.7849000137115.588115.5
502016-05-036950000138554.088554.0
512016-06-0165.5251000132566.181566.1
522016-07-0171.2452000145139.393139.3
532016-08-0181.2353000166492.3113492.3
542016-09-0183.6654000172472.9118472.9
552016-10-1075.3555000156341.0101341.0
562016-11-0177.2956000161366.3105366.3
572016-12-0175.0257000157627.0100627.0
582017-01-0373.6758000155790.497790.4
592017-02-0378.9159000167871.5108871.5
602017-03-0180.3760000171977.5111977.5
612017-04-0587.2861000187763.6126763.6
622017-05-0292.2562000199455.5137455.5
632017-06-0181.6663000177558.7114558.7
642017-07-0396.3564000210500.1146500.1
652017-08-01120.6565000264589.4199589.4
662017-09-01114.666000252321.5186321.5
672017-10-09163.3767000360701.3293701.3
682017-11-01176.3868000390425.8322425.8
692017-12-0118269000403865.9334865.9
702018-01-02195.1770000434090.7364090.7
712018-02-01199.7671000445299.7374299.7
722018-03-01200.0972000447035.3375035.3
732018-04-02185.0773000414478.0341478.0
742018-05-02183.5174000411984.3337984.3
752018-06-01171.275000385348.1310348.1
762018-07-02122.5876000276911.0200911.0
772018-08-01120.7777000273822.2196822.2
782018-09-03106.8678000243284.0165284.0
792018-10-08106.2579000242895.2163895.2
802018-11-01111.4780000255828.5175828.5
812018-12-03143.681000330568.3249568.3
822019-01-02133.5582000308433.1226433.1
832019-02-01174.8283000404746.0321746.0
842019-03-01211.4184000490459.7406459.7
852019-04-01216.0385000502177.9417177.9
862019-05-06213.486000497064.2411064.2
872019-06-03219.287000511574.0424574.0
882019-07-01222.9488000521302.5433302.5
892019-08-01244.2689000572155.2483155.2
902019-09-02274.8390000644762.4554762.4
912019-10-08246.2391000578665.7487665.7
922019-11-01212.6292000500678.7408678.7
932019-12-02230.3193000543335.2450335.2
942020-01-02253.494000598807.9504807.9
952020-02-03267.8595000633954.6538954.6
962020-03-02302.2596000716373.5620373.5
972020-04-01241.8197000574122.5477122.5
982020-05-06292.7198000695972.9597972.9
992020-06-01316.8999000754465.4655465.4
1002020-07-01403.77100000962313.0862313.0
1012020-08-03561.711010001339734.61238734.6
1022020-09-01655.861020001565291.71463291.7
1032020-10-09800.531030001911564.71808564.7
1042020-11-02721.021040001722704.91618704.9
1052020-12-01683.571050001634227.11529227.1
1062021-01-04980.181060002344339.62238339.6
1072021-02-011047.211070002505658.22398658.2
1082021-03-011071.681080002565207.62457207.6
1092021-04-01877.191090002100670.11991670.1
1102021-05-06979.21100002345960.82235960.8
1112021-06-01990.011110002372859.32261859.3
1122021-07-011170.041120002805355.82693355.8
1132021-08-021190.681130002855843.52742843.5
1142021-09-011168.81140002804364.42690364.4
1152021-10-081093.41150002624453.12509453.1
1162021-11-011377.531160003307441.33191441.3
1172021-12-011155.461170002775252.52658252.5
1182022-01-041166.461180002802673.02684673.0
1192022-02-071006.311190002418877.92299877.9
1202022-03-011100.281200002645754.62525754.6
1212022-04-01997.781210002400281.12279281.1
1222022-05-05949.341220002284752.82162752.8
1232022-06-011081.711230002604324.32481324.3
1242022-07-011252.41240003016277.52892277.5
1252022-08-011181.521250002846570.22721570.2
1262022-09-01997.361260002403883.82277883.8
1272022-10-10886.411270002137466.92010466.9
1282022-11-01985.81280002378133.52250133.5
1292022-12-01907.981290002191401.32062401.3
1302023-01-03812.051300001960875.21830875.2
1312023-02-01940.341310002271659.92140659.9
1322023-03-01852.71320002060940.41928940.4
1332023-04-03785.091330001898529.91765529.9
1342023-05-04659.111340001594881.01460881.0
1352023-06-01553.931350001341371.81206371.8
1362023-07-03566.451360001372689.61236689.6
1372023-08-01574.541370001393294.31256294.3
1382023-09-01522.151380001267245.41129245.4
1392023-10-09532.161390001292539.41153539.4
1402023-11-01459.541400001117155.9977155.9
1412023-12-01418.711410001018897.0877897.0
1422024-01-02437.781420001066302.3924302.3
1432024-02-01387.5143000944835.1801835.1
1442024-03-01426.221440001040245.4896245.4
1452024-04-01398.29145000973078.6828078.6
1462024-05-06366.7146000896899.8750899.8
1472024-06-03366.89147000898364.5751364.5
1482024-07-01280.78148000688516.1540516.1
1492024-08-01290.22149000712664.5563664.5
1502024-09-02267.49150000657848.7507848.7
1512024-10-08384.8151000947353.8796353.8
1522024-11-01379.6152000935551.7783551.7
1532024-12-02368.43153000909022.4756022.4
1542025-01-02310.64154000767437.9613437.9
1552025-02-05303.9155000751786.7596786.7
1562025-03-03341.08156000844762.5688762.5
1572025-04-01322.39157000799472.4642472.4
1582025-05-06302.94158000752239.7594239.7
1592025-06-03289.84159000720710.7561710.7
1602025-07-01299.66160000746128.9586128.9
1612025-08-01320.08161000797973.1636973.1
1622025-09-01342.42162000854667.6692667.6
1632025-10-09377.1163000942227.6779227.6
1642025-11-03432.571640001081825.8917825.8
1652025-12-01374.59165000937822.1772822.1
1662026-01-16374.21166000937870.7771870.7

Stock Fixed Investment 文峰股份 宝泰隆 隆基绿能