China Financial International Investments Limited Reports Estimated NAV of HK$0.02 Per Share as of August 31, 2025
Reuters
Sep 15
China Financial International Investments Limited Reports Estimated NAV of HK$0.02 Per Share as of August 31, 2025
China Financial International Investments Limited has announced its unaudited consolidated net asset value per ordinary share as of 31 August 2025. The NAV stands at approximately HK$0.02, reflecting the company's financial position during this period. The announcement was made on 15 September 2025.
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