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China Investment Fund Reports NAV Per Share
Company Announcements

China Investment Fund Reports NAV Per Share

China Investment Fund Company Limited (HK:0612) has released an update.

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China Investment Fund Company Limited reported an unaudited consolidated net asset value per share of HK$0.37 as of October 31, 2024. The announcement highlights the company’s financial position, which is of interest to investors tracking its stock performance. This information could influence market perceptions and investment decisions.

For further insights into HK:0612 stock, check out TipRanks’ Stock Analysis page.

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