dca calculator 603665 stock

Total Investment

--

Total Assets

--

Profit&Loss Ratio

--

Profit&Loss

--

Total Shares

--

Date

--

Adjusted Closing Price

--
(Post Split)

Peak Assets

--

Monthly DCA

1000

Monthly DCA:康隆达

Total Investment:10.7万
Total Assets:18.352万
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).
2017-03-13:close:30.82
2026-01-16:close:55.17
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 康隆达 ( 603665 ) ?
Fixed Investment in 康隆达 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12017-03-1330.8210001000.00.0
22017-04-0558.7920002907.5907.5
32017-05-0246.830003314.5314.5
42017-06-0136.4540003581.5-418.5
52017-07-0340.2250004952.0-48.0
62017-08-0134.4460005240.3-759.7
72017-09-0136.2970006521.8-478.2
82017-10-0936.5980007575.7-424.3
92017-11-0135.0890008263.1-736.9
102017-12-0132.49100008653.0-1347.0
112018-01-0232.24110009586.4-1413.6
122018-02-0138.81200012537.0537.0
132018-03-0139.281300013692.1692.1
142018-04-0235.531400013384.9-615.1
152018-05-0232.441500013220.9-1779.1
162018-06-0131.311600013760.3-2239.7
172018-07-0223.571700011358.7-5641.3
182018-08-0124.951800013023.8-4976.2
192018-09-0321.411900012175.9-6824.1
202018-10-0822.352000013710.5-6289.5
212018-11-0123.32100015293.2-5706.8
222018-12-0325.972200018045.7-3954.3
232019-01-0226.542300019441.8-3558.2
242019-02-0124.72400019093.9-4906.1
252019-03-0124.792500020163.5-4836.5
262019-04-0127.412600023294.5-2705.5
272019-05-0625.682700022824.3-4175.7
282019-06-0324.22800022508.9-5491.1
292019-07-0125.222900024457.6-4542.4
302019-08-0124.063000024332.7-5667.3
312019-09-0221.43100022642.5-8357.5
322019-10-0821.263200023494.4-8505.6
332019-11-0120.853300024041.3-8958.7
342019-12-0221.523400025813.8-8186.2
352020-01-0222.683500028205.3-6794.7
362020-02-0319.743600025549.1-10450.9
372020-03-0222.463700030069.5-6930.5
382020-04-0122.383800030962.4-7037.6
392020-05-0624.483900034867.7-4132.3
402020-06-0125.014000036622.6-3377.4
412020-07-0128.74100043025.92025.9
422020-08-0333.494200051206.99206.9
432020-09-0134.974300054469.911469.9
442020-10-0939.264400062152.018152.0
452020-11-0239.744500063911.918911.9
462020-12-0140.744600066520.220520.2
472021-01-0431.124700051812.74812.7
482021-02-0123.164800039559.8-8440.2
492021-03-01274900047118.9-1881.1
502021-04-0126.235000046775.2-3224.8
512021-05-0624.455100044601.0-6399.0
522021-06-0122.795200042572.8-9427.2
532021-07-0123.275300044469.5-8530.5
542021-08-0219.955400039124.9-14875.1
552021-09-0118.345500036967.5-18032.5
562021-10-0832.775600067053.611053.6
572021-11-0141.45700085712.328712.3
582021-12-0146.385800097022.639022.6
592022-01-0450.9159000107498.948498.9
602022-02-0757.9460000123343.163343.1
612022-03-0164.0461000137328.876328.8
622022-04-0170.5262000152224.790224.7
632022-05-0566.963000145410.582410.5
642022-06-0171.2664000155887.291887.2
652022-07-0178.7865000173337.8108337.8
662022-08-017466000163820.597820.5
672022-09-0173.6267000163979.396979.3
682022-10-1061.268000137315.369315.3
692022-11-0164.1969000145024.076024.0
702022-12-0157.0570000129892.659892.6
712023-01-0356.9171000130573.959573.9
722023-02-0156.3172000130197.258197.2
732023-03-0156.273000130942.957942.9
742023-04-0349.8874000117217.743217.7
752023-05-0443.4875000103177.728177.7
762023-06-0140.557600097224.821224.8
772023-07-0342.7977000103595.626595.6
782023-08-0139.317800096170.418170.4
792023-09-0140.8879000101011.422011.4
802023-10-0938.418000095908.215908.2
812023-11-0141.4781000104548.923548.9
822023-12-0137.528200095590.613590.6
832024-01-0248.6683000124972.341972.3
842024-02-0130.498400079306.7-4693.3
852024-03-0133.488500088083.93083.9
862024-04-0131.918600084953.4-1046.6
872024-05-0630.78700082732.0-4268.0
882024-06-0333.838800092166.94166.9
892024-07-0132.048900088290.2-709.8
902024-08-0130.759000085735.4-4264.6
912024-09-0222.369100063342.9-27657.1
922024-10-0825.869200074257.9-17742.1
932024-11-0123.729300069112.8-23887.2
942024-12-0227.669400081592.8-12407.2
952025-01-0222.479500067283.1-27716.9
962025-02-0523.319600070798.3-25201.7
972025-03-0327.319700083947.4-13052.6
982025-04-0128.369800088174.9-9825.1
992025-05-0631.669900099435.0435.0
1002025-06-0340.09100000126911.326911.3
1012025-07-0139.29101000125378.824378.8
1022025-08-0139.53102000127144.625144.6
1032025-09-0143.67103000141460.538460.5
1042025-10-0941.75104000136241.132241.1
1052025-11-0341.37105000136001.031001.0
1062025-12-0147.76106000158007.752007.7
1072026-01-1655.17107000183522.776522.7

Stock Fixed Investment 康隆达