As of the end of July, the comprehensive net asset value per share of C FIN INT INV (00721) is approximately HKD 0.07.
China Finance International (00721) announced that as of July 31, 2026, the unaudited net asset value per ordinary share is approximately HKD 0.07.
C FIN INT INV (00721) announced that as of July 31, 2026, the unaudited net asset value per ordinary share was approximately HK$0.07.
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CHINA RES LAND (01109) reported a cumulative contract sales amount of approximately 130.6 billion yuan for the first seven months, an increase of 5.7% year-on-year.

SOLIS HOLDINGS (02227) intends to sell bonds for 253,000 Singapore dollars.

CHUANGLIAN HOLD(02371): Gao Rui appointed as Executive Director

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