dca calculator 603179 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:新泉股份

Total Investment:10.7万
Total Assets:52.061万
Total Month:107
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2017-03-17:close:20.17
2026-01-16:close:241.04
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 新泉股份 ( 603179 ) ?
Fixed Investment in 新泉股份 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12017-03-1720.1710001000.00.0
22017-04-0544.520003206.21206.2
32017-05-0246.5230004351.81351.8
42017-06-0139.3540004681.1681.1
52017-07-0345.7950006447.21447.2
62017-08-0143.4160007112.11112.1
72017-09-0144.5770008302.11302.1
82017-10-0946.0580009577.81577.8
92017-11-0151.39900011688.42688.4
102017-12-0140.861000010293.4293.4
112018-01-0236.941100010305.9-694.1
122018-02-0133.411200010321.1-1678.9
132018-03-0135.651300012013.1-986.9
142018-04-0238.111400013842.0-158.0
152018-05-0235.861500014024.8-975.2
162018-06-0135.251600014786.2-1213.8
172018-07-0230.921700013969.9-3030.1
182018-08-0128.991800014097.9-3902.1
192018-09-0327.531900014387.9-4612.1
202018-10-0824.32000013699.8-6300.2
212018-11-0125.882100015590.6-5409.4
222018-12-0324.622200015831.6-6168.4
232019-01-0223.152300015886.3-7113.7
242019-02-0123.72400017263.7-6736.3
252019-03-0124.92500019137.8-5862.2
262019-04-0126.512600021375.3-4624.7
272019-05-0621.672700018472.7-8527.3
282019-06-0319.672800017767.8-10232.2
292019-07-0119.972900019038.8-9961.2
302019-08-0119.643000019724.2-10275.8
312019-09-0219.293100020372.7-10627.3
322019-10-0821.053200023231.5-8768.5
332019-11-0120.463300023580.3-9419.7
342019-12-0225.213400030054.8-3945.2
352020-01-0227.833500034178.3-821.7
362020-02-0327.933600035301.1-698.9
372020-03-0233.653700043530.66530.6
382020-04-0129.123800038670.5670.5
392020-05-0636.873900049962.310962.3
402020-06-0137.984000052466.412466.4
412020-07-0142.164100059240.818240.8
422020-08-0345.334200064695.122695.1
432020-09-0159.874300086446.643446.6
442020-10-0961.114400089237.045237.0
452020-11-0260.514500089360.944360.9
462020-12-0157.914600086521.240521.2
472021-01-0469.6347000105031.658031.6
482021-02-0166.0148000100571.152571.1
492021-03-0157.934900089260.640260.6
502021-04-0158.625000091323.841323.8
512021-05-0655.385100087276.236276.2
522021-06-0158.565200093287.841287.8
532021-07-0160.25300096900.343900.3
542021-08-0272.1254000117087.263087.2
552021-09-0157.545500094416.539416.5
562021-10-0855.75600092397.336397.3
572021-11-0174.5157000124600.067600.0
582021-12-0178.8658000132874.474874.4
592022-01-0484.0859000142669.883669.8
602022-02-0772.9260000124733.164733.1
612022-03-0176.5361000131908.270908.2
622022-04-0164.7762000112638.550638.5
632022-05-0561.5363000108003.945003.9
642022-06-0167.4964000119465.655465.6
652022-07-0171.765000127917.862917.8
662022-08-0190.5166000162476.196476.1
672022-09-0196.4367000174103.2107103.2
682022-10-1085.6668000155658.187658.1
692022-11-0198.6369000180226.7111226.7
702022-12-01102.270000187750.2117750.2
712023-01-0393.9471000173575.8102575.8
722023-02-01107.3872000199409.3127409.3
732023-03-01100.3873000187410.0114410.0
742023-04-03101.8774000191191.9117191.9
752023-05-0493.8575000177139.8102139.8
762023-06-0196.0376000182254.5106254.5
772023-07-03104.977000200088.8123088.8
782023-08-01121.0378000231855.5153855.5
792023-09-01128.379000246782.5167782.5
802023-10-09123.0280000237626.6157626.6
812023-11-01111.1481000215679.0134679.0
822023-12-01124.1382000241887.5159887.5
832024-01-02120.9483000236671.3153671.3
842024-02-01102.2284000201037.5117037.5
852024-03-01106.4885000210415.7125415.7
862024-04-01108.0786000214557.7128557.7
872024-05-06112.487000224154.4137154.4
882024-06-03105.5488000211473.8123473.8
892024-07-0197.4789000196303.6107303.6
902024-08-0199.0390000200445.5110445.5
912024-09-0291.3491000185880.294880.2
922024-10-0812792000259449.6167449.6
932024-11-01120.3293000246803.0153803.0
942024-12-02115.0294000236931.5142931.5
952025-01-02107.7495000222935.3127935.3
962025-02-05117.2796000243654.8147654.8
972025-03-03120.4297000251199.6154199.6
982025-04-01114.7498000240351.0142351.0
992025-05-06104.5799000220047.4121047.4
1002025-06-03115.24100000243500.4143500.4
1012025-07-01115.1101000244204.6143204.6
1022025-08-01101.28102000215883.0113883.0
1032025-09-01123.99103000265290.5162290.5
1042025-10-09205.12104000439877.2335877.2
1052025-11-03187.4105000402876.9297876.9
1062025-12-01169.68106000365782.0259782.0
1072026-01-16241.04107000520613.9413613.9

Stock Fixed Investment 新泉股份