Ding Yi Feng Holdings Reports Estimated Net Asset Value Per Share of HK$0.31 as of June 2025
Reuters
Jul 15
Ding Yi Feng Holdings Reports Estimated Net Asset Value Per Share of HK$0.31 as of June 2025
Ding Yi Feng Holdings Group International Limited, a company incorporated in the Cayman Islands with limited liability, reported its unaudited consolidated net asset value $(NAV)$ per share as approximately HK$0.31 as of June 30, 2025. This estimation was announced on July 15, 2025, and provides insight into the company's financial standing during this period. The announcement was made by the independent non-executive directors, Ms. Jing Siyuan, Mr. Zhang Aimin, and Mr. Zhang Qiang.
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