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The comprehensive net asset value per share of c fin int inv (00721) was approximately HKD0.02 at the end of May.
C Fin Int Inv (00721) announced that the unaudited comprehensive earnings per share for May 31, 2024...
中國金融國際:有關截至二零二三年六月三十日止年度年報之補充公告
China Finance International (00721)'s net comprehensive asset value per share at the end of April was approximately HK$0.02
China Finance International (00721) issued an announcement announcing the unaudited synthesis of each common share on April 30, 2024...
The net comprehensive asset value of China Finance International (00721) was approximately HK$0.02 per share at the end of March
China Finance International (00721) issued an announcement announcing the unaudited consolidation of each common share on March 31, 2024...
C FIN INT INV: INTERIM REPORT 2023
Zhitong Hong Kong Shareholders' Rights Disclosure | March 26
Disclosure of Hong Kong Stock Shareholders' Rights | March 26
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