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中国投资基金公司(00612.HK)5月末每股综合资产净值0.68港元

China Investment Fund Corporation (00612.HK) ended May with a consolidated net asset value of HK $0.68 per share

Gelonghui Finance ·  Jun 15, 2022 16:40

China Investment Fund Corporation (00612.HK) announced that on May 31, 2022, the company's unaudited net asset value per share was about HK $0.68.

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