中国金融投资管理公布2025年中期每股资产净值预估为0.02港元

华尔街洞察
15 Jul

中国金融投资管理有限公司最新披露,截至2025年6月30日,其未经审核综合每股资产净值(NAV)预估约为0.02港元。该财务数据于2025年7月15日正式对外公布,标志着公司在报告期末的资产价值基准。

这项关键指标为投资者提供了评估企业财务状况的重要参照。作为专业投资机构的核心运营参数,每股资产净值直接反映了股东权益的实际价值构成。根据香港金融市场信息披露准则,上市公司需定期公布此类基础财务数据。

值得关注的是,本次披露数值属于阶段性预估结果,最终审计确认数据可能存在调整空间。市场分析人士指出,此类定期资产净值公告为投资者追踪企业资本结构变化提供了连续性参照依据。

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