dca calculator 603067 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:振华股份

Total Investment:11.3万
Total Assets:63.257万
Total Month:113
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2016-09-13:close:8.83
2026-01-16:close:105.22
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 振华股份 ( 603067 ) ?
Fixed Investment in 振华股份 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12016-09-138.8310001000.00.0
22016-10-1026.0220003946.81946.8
32016-11-0133.3630006060.13060.1
42016-12-0135.7440007492.53492.5
52017-01-0328.7150007018.72018.7
62017-02-0325.460007209.51209.5
72017-03-0127.2170008723.31723.3
82017-04-0526.2880009425.11425.1
92017-05-0223.1190009288.2288.2
102017-06-0119.18100008708.7-1291.3
112017-07-0320.491100010303.5-696.5
122017-08-0122.091200012108.1108.1
132017-09-0120.241300012094.0-906.0
142017-10-0918.471400012036.4-1963.6
152017-11-0117.11500012143.6-2856.4
162017-12-0113.831600010821.4-5178.6
172018-01-0213.591700011633.6-5366.4
182018-02-0111.071800010476.4-7523.6
192018-03-0111.231900011627.8-7372.2
202018-04-0216.032000017597.9-2402.1
212018-05-0214.582100017006.0-3994.0
222018-06-0113.62200016863.0-5137.0
232018-07-0217.12300022202.7-797.3
242018-08-0116.822400022839.2-1160.8
252018-09-0315.052500021435.7-3564.3
262018-10-0813.592600020356.3-5643.7
272018-11-0112.012700018989.6-8010.4
282018-12-0312.022800020005.4-7994.6
292019-01-0211.072900019424.3-9575.7
302019-02-0111.343000020898.1-9101.9
312019-03-0112.643100024293.8-6706.2
322019-04-0115.143200030098.7-1901.3
332019-05-0611.813300024478.6-8521.4
342019-06-0312.963400027862.2-6137.8
352019-07-0113.413500029829.6-5170.4
362019-08-0111.83600027248.3-8751.7
372019-09-0212.193700029148.9-7851.1
382019-10-0812.393800030627.1-7372.9
392019-11-0111.673900029847.3-9152.7
402019-12-0211.394000030131.2-9868.8
412020-01-0212.354100033670.8-7329.2
422020-02-0310.744200030281.3-11718.7
432020-03-0210.884300031676.1-11323.9
442020-04-0110.394400031249.5-12750.5
452020-05-0611.694500036159.4-8840.6
462020-06-0112.234600038829.7-7170.3
472020-07-0112.434700040464.7-6535.3
482020-08-1017.214800057025.69025.6
492020-09-0114.514900049079.179.1
502020-10-0914.15000048692.3-1307.7
512020-11-0213.685100048241.9-2758.1
522020-12-0114.615200052521.5521.5
532021-01-0413.685300050178.2-2821.8
542021-02-0113.515400050554.7-3445.3
552021-03-0115.765500059974.24974.2
562021-04-0115.965600061735.35735.3
572021-05-0615.215700059834.22834.2
582021-06-0114.675800058709.9709.9
592021-07-0114.965900060870.51870.5
602021-08-0220.166000083028.723028.7
612021-09-0123.146100096301.835301.8
622021-10-0827.5162000115488.453488.4
632021-11-0124.963000105531.542531.5
642021-12-0127.2564000116491.352491.3
652022-01-0422.126500095561.030561.0
662022-02-0722.9466000100103.534103.5
672022-03-0127.967000122747.555747.5
682022-04-0123.1568000102849.634849.6
692022-05-0522.3569000100295.431295.4
702022-06-0123.8870000108161.338161.3
712022-07-0126.4771000120892.449892.4
722022-08-0141.5572000190764.9118764.9
732022-09-0133.273000153428.380428.3
742022-10-1031.1674000145000.871000.8
752022-11-0129.5775000138601.863601.8
762022-12-0132.5376000153476.177476.1
772023-01-0327.4477000130461.553461.5
782023-02-0131.5778000151097.373097.3
792023-03-0130.7379000148077.069077.0
802023-04-0326.7980000130091.550091.5
812023-05-0424.1681000118320.337320.3
822023-06-0125.2482000124609.542609.5
832023-07-0325.6983000127831.144831.1
842023-08-0124.7684000124203.540203.5
852023-09-0121.7785000110204.825204.8
862023-10-0921.3586000109078.723078.7
872023-11-0121.7387000112020.125020.1
882023-12-0121.4388000111473.623473.6
892024-01-0221.9289000115022.426022.4
902024-02-0118.229000096607.26607.2
912024-03-0119.1491000102485.211485.2
922024-04-0119.292000103806.511806.5
932024-05-0625.6193000139462.746462.7
942024-06-0323.6794000129898.235898.2
952024-07-0125.2695000139623.944623.9
962024-08-0125.496000141397.845397.8
972024-09-0223.7397000133101.236101.2
982024-10-0827.498000154686.156686.1
992024-11-0126.6399000151339.152339.1
1002024-12-0227.73100000158590.458590.4
1012025-01-0225.93101000149296.148296.1
1022025-02-0526.57102000153981.051981.0
1032025-03-0335.2103000204994.4101994.4
1042025-04-0137.2104000217641.8113641.8
1052025-05-0645.55105000267494.2162494.2
1062025-06-0345.57106000268611.6162611.6
1072025-07-0147.1107000278630.2171630.2
1082025-08-0142.54108000252654.5144654.5
1092025-09-0154.1109000322311.9213311.9
1102025-10-0954.51110000325754.6215754.6
1112025-11-0372.29111000433008.8322008.8
1122025-12-0180.11112000480849.7368849.7
1132026-01-16105.22113000632569.1519569.1

Stock Fixed Investment 音飞储存 振华股份