Long Investment Corp Announces HK$0.29 Net Asset Value Per Share as of 31 March 2026

Bulletin Express
Apr 15

Long Investment Corp reported an unaudited net asset value (NAV) of HK$0.29 per share as at 31 March 2026, according to a board announcement released on 15 April 2026. The disclosure covers the company and its subsidiary.

The statement was signed by Chairman Cai Wensheng and noted the current board composition: executive directors Lin Yanjun and Chiu Tak Wai; non-executive director Cai Wensheng; and independent non-executive directors Choi Kam Keung, Wang Lijie and Zhang Suining.

Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong Limited reiterated that they assume no responsibility for the contents of the announcement and disclaim any liability arising from reliance on the information.

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