dca calculator 920720 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:吉冈精密

Total Investment:5.1万
Total Assets:11.401万
Total Month:51
Invest at the close on the first trading day of each month, and buy at the post-adjusted closing price (for stock splits/dividends).
2021-11-24:close:31.16
2026-01-16:close:42.13
Monthly DCA:1000
Guess how much money you can make by dollar-cost averaging 吉冈精密 ( 920720 ) ?
Fixed Investment in 吉冈精密 data list
IdDateAdjusted PriceTotal InvestmentTotal AssetsProfit&LossTimes
12021-11-2431.1610001000.00.0
22021-12-0126.5920001853.3-146.7
32022-01-0425.930002805.2-194.8
42022-02-0721.840003361.2-638.8
52022-03-0117.5450003704.4-1295.6
62022-04-0114.6460004091.9-1908.1
72022-05-0512.8670004594.4-2405.6
82022-06-0113.9680005987.4-2012.6
92022-07-0114.8990007386.2-1613.8
102022-08-0114.69100008287.0-1713.0
112022-09-0113.63110008689.1-2310.9
122022-10-1011.16120008114.4-3885.6
132022-11-0111.45130009325.3-3674.7
142022-12-0112.441400011131.6-2868.4
152023-01-0312.141500011863.1-3136.9
162023-02-0113.011600013713.3-2286.7
172023-03-0112.821700014513.0-2487.0
182023-04-0312.971800015682.8-2317.2
192023-05-0412.211900015763.9-3236.1
202023-06-0112.872000017616.0-2384.0
212023-07-0312.572100018205.4-2794.6
222023-08-0112.212200018684.0-3316.0
232023-09-0111.072300017939.5-5060.5
242023-10-0912.552400021337.9-2662.1
252023-11-0110.172500018291.4-6708.6
262023-12-0119.212600035550.49550.4
272024-01-0232.992700062051.935051.9
282024-02-0123.252800044731.616731.6
292024-03-0126.752900052465.423465.4
302024-04-0120.813000041815.211815.2
312024-05-0618.473100038113.27113.2
322024-06-0317.233200036554.44554.4
332024-07-0116.293300035560.22560.2
342024-08-0117.873400040009.26009.2
352024-09-0216.273500037427.02427.0
362024-10-0828.693600066997.630997.6
372024-11-0130.933700073228.536228.5
382024-12-0247.3738000113151.075151.0
392025-01-0231.193900075502.536502.5
402025-02-0534.714000085023.445023.4
412025-03-0342.5541000105227.864227.8
422025-04-0139.154200097819.455819.4
432025-05-0643.2143000108963.765963.7
442025-06-0342.2344000107492.463492.4
452025-07-0142.1845000108365.163365.1
462025-08-0141.4346000107438.361438.3
472025-09-0148.7147000127317.180317.1
482025-10-0943.4448000114542.566542.5
492025-11-0347.6449000126617.177617.1
502025-12-0140.7550000109304.959304.9
512026-01-1642.1351000114006.563006.5

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