定投伦敦金定盘价格

总投入

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总资产

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盈亏比例

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盈亏

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总股数

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日期

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后复权收盘价

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峰值资产

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后复权每月定投

1000

每月定投:伦敦金定盘价格

总共投入:9.0万
现有资产:20.736万
定投月数:90月
每月第一天收盘投入,后复权收盘价买入
2018-08-15:收盘价:11.74
2026-01-02:收盘价:42.74
每月定投:1000
猜一猜,定投 伦敦金定盘价格 (AAAU) 一共能赚多少钱
Guess how much money you can make by dollar-cost averaging 伦敦金定盘价格 ( AAAU ) ?
定投 伦敦金定盘价格 记录列表
Id日期后复权收盘价总投入当日资产
12018-08-1511.7410001000.00
22018-09-0411.9220002015.33
32018-10-0111.8930003010.26
42018-11-0112.3440004124.19
52018-12-0312.29150005107.81
62019-01-0213.0560006423.23
72019-02-0113.17470007484.27
82019-03-0112.8980008322.92
92019-04-0112.8690009303.55
102019-05-0112.7451000010220.36
112019-06-0313.241100011617.30
122019-07-0113.811200013117.44
132019-08-0114.431300014706.35
142019-09-0315.431400016725.50
152019-10-0114.771500017010.09
162019-11-0115.091600018378.62
172019-12-0214.591700018769.65
182020-01-0215.251800020618.73
192020-02-0315.731900022267.71
202020-03-0215.812000023380.96
212020-04-0115.872100024469.69
222020-05-0116.962200027150.34
232020-06-0117.372300028806.69
242020-07-0117.682400030320.80
252020-08-0319.72500034785.05
262020-09-0119.642600035679.11
272020-10-0118.972700035461.95
282020-11-0218.872800036275.01
292020-12-0118.062900035717.90
302021-01-0419.353000039269.18
312021-02-0118.523100038584.76
322021-03-0117.163200036751.32
332021-04-0117.23300037836.99
342021-05-0317.833400040222.88
352021-06-0118.93500043636.71
362021-07-0117.673600041796.86
372021-08-0218.043700043672.06
382021-09-0118.053800044696.27
392021-10-0117.513900044359.09
402021-11-0117.834000046169.77
412021-12-0117.6754100046768.41
422022-01-0317.914200048390.22
432022-02-0117.914300049390.22
442022-03-0119.344400054333.72
452022-04-0119.114500054687.55
462022-05-0218.54600053941.90
472022-06-0118.3454700054489.96
482022-07-0117.934800054257.29
492022-08-0117.584900054198.17
502022-09-0116.825000052855.13
512022-10-0316.8755100054027.96
522022-11-0116.3555200053363.10
532022-12-0117.895300059371.50
542023-01-0318.245400061533.04
552023-02-0119.3755500066361.99
562023-03-0118.225600063405.96
572023-04-0319.695700069521.59
582023-05-0119.6355800070327.39
592023-06-0119.6055900071219.94
602023-07-0319.056000070203.77
612023-08-0119.276100072014.52
622023-09-0119.236200072865.03
632023-10-0218.126300069659.10
642023-11-0119.6056400076367.91
652023-12-0120.5156500080912.66
662024-01-0220.3856600081399.93
672024-02-0120.356700082260.17
682024-03-0120.636800084392.01
692024-04-0122.226900091896.29
702024-05-0122.867000095543.16
712024-06-0323.237100098089.58
722024-07-0123.0657200098392.86
732024-08-0124.16573000104085.34
742024-09-0324.65574000107195.91
752024-10-0126.375000115348.10
762024-11-0127.03576000119571.70
772024-12-0226.0777000116303.66
782025-01-0226.28578000118262.82
792025-02-0327.8579000126304.14
802025-03-0328.57580000130592.13
812025-04-0130.8281000141852.13
822025-05-0131.89582000147799.92
832025-06-0233.40583000155797.19
842025-07-0132.9784000154768.40
852025-08-0133.1585000156613.36
862025-09-0234.9286000165975.52
872025-10-0138.1987000182517.90
882025-11-0339.5888000190161.00
892025-12-0141.8389000201971.06
902026-01-0242.7490000207364.88

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