城投控股跌2.11%,成交额7746.11万元,主力资金净流入596.70万元

Core Viewpoint - The stock of Chengdu Investment Holdings has experienced fluctuations, with a recent decline of 2.11% and a year-to-date increase of 4.99%, indicating volatility in its market performance [1]. Financial Performance - For the first half of 2025, Chengdu Investment Holdings reported a revenue of 5.927 billion yuan, representing a year-on-year growth of 807.72% [2]. - The net profit attributable to shareholders for the same period was 153 million yuan, showing a significant increase of 250.60% compared to the previous year [2]. Shareholder Information - As of June 30, 2025, the number of shareholders for Chengdu Investment Holdings was 68,400, which is an increase of 0.24% from the previous period [2]. - The average circulating shares per shareholder decreased by 0.24% to 36,958 shares [2]. Dividend Distribution - Since its A-share listing, Chengdu Investment Holdings has distributed a total of 7.163 billion yuan in dividends, with 526 million yuan distributed over the past three years [3]. Institutional Holdings - As of June 30, 2025, the top ten circulating shareholders included Southern CSI Real Estate ETF, which increased its holdings by 398,400 shares to 16.135 million shares [3]. - Hong Kong Central Clearing Limited reduced its holdings by 6.784 million shares to 15.315 million shares [3]. - New institutional shareholder Southern CSI 1000 ETF entered the list with 1.16436 million shares [3].