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金石資本集團
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金石資本集團(01160)3月末每股資產淨值為約0.029港元
智通财经
·
04-14
金石資本集團3月末每股資產淨值約0.029港元
格隆汇
·
04-14
【金石資本集團(01160.HK)2月末每股資產淨值為約0.031港元】金石資本集團(01160.HK)發佈公告,於2025年2月28日,公司每股股份的未經審核資產淨值為約0.031港元。
金融界
·
03-13
金石資本集團(01160)2月末每股資產淨值為約0.031港元
智通财经
·
03-13
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