tiprankstipranks
China Investment Fund Reports Net Asset Value
Company Announcements

China Investment Fund Reports Net Asset Value

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

Don't Miss our Black Friday Offers:

China Investment Fund Company Limited has reported an unaudited consolidated net asset value per share of approximately HK$0.37 as of August 31, 2024. The announcement also lists the current executive, non-executive, and independent non-executive directors, with no responsibility taken by the Hong Kong Exchanges for the announcement’s contents.

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

Looking for investment ideas? Subscribe to our Smart Investor newsletter for weekly expert stock picks!
Get real-time notifications on news & analysis, curated for your stock watchlist. Download the TipRanks app today! Get the App