China Financial International Investments Limited (721) Announces HK$0.02 Net Asset Value Per Share

Bulletin Express02-13

China Financial International Investments Limited (Stock Code: 721) disclosed that its unaudited consolidated net asset value per ordinary share as of 31 January 2026 stood at approximately HK$0.02.

The announcement was issued in Hong Kong on 13 February 2026. According to the document, as of the same date, the company’s executive, non-executive, and independent non-executive directors were duly noted without further details provided on other aspects of company operations or financial performance.

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