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China Investment Fund Reports Latest NAV
Company Announcements

China Investment Fund Reports Latest NAV

China Investment Fund Company Limited (HK:0612) has released an update.

China Investment Fund Company Limited has reported an unaudited consolidated net asset value per share of HK$0.47 as of May 31, 2024, as part of their latest financial announcement. The current board includes executive directors Mr. Luk Hong Man, Hammond, and Mr. Zhang Xi, along with other key non-executive and independent directors.

For further insights into HK:0612 stock, check out TipRanks’ Stock Analysis page.

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