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Home Investment Fund China Investment Fund Reports Net Asset Value Per Share at HK$0.31

China Investment Fund Reports Net Asset Value Per Share at HK$0.31

by Barbara

China Investment Fund Company Limited, listed on the Hong Kong Stock Exchange, announced an unaudited net asset value (NAV) per share of approximately HK$0.31 as of May 31, 2025.

This figure offers investors a clear view of the company’s financial standing and may influence market confidence and perception.

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The fund currently has a market capitalization of about HK$757.3 million and an average daily trading volume of 2.69 million shares. Despite the NAV update, technical sentiment signals remain bearish, with a “Sell” rating on the stock.

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This announcement comes amid a broader positive outlook for Chinese equities in 2025, supported by policy measures to boost shareholder returns and economic growth. Chinese companies have increased dividends and share buybacks, making the market more attractive to investors.

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Investors tracking China Investment Fund and similar assets can use this NAV update to assess their holdings and market positioning.

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