国开国际投资(01062.HK)9月末每股未经审核综合资产净值0.3528港元
Group 1 - The company announced that as of September 30, 2025, its unaudited consolidated net asset value per share is approximately HKD 0.3528 [1]
Group 1 - The company announced that as of September 30, 2025, its unaudited consolidated net asset value per share is approximately HKD 0.3528 [1]