China Merchants China Direct Investments Limited

Financial / NAV Highlights

NAV Highlights

As at Net Asset Value Per Share
31 Oct 2019 US$4.271 (HK$33.44)
30 Sep 2019 US$4.225 (HK$33.15)
31 Aug 2019 US$4.217 (HK$33.00)
31 Jul 2019 US$4.424 (HK$34.68)
30 Jun 2019 US$4.371 (HK$34.22)
31 May 2019 US$4.040 (HK$31.64)
30 Apr 2019 US$4.303 (HK$33.78)
31 Mar 2019 US$4.259 (HK$33.40)
28 Feb 2019 US$4.198 (HK$32.96)
31 Jan 2019 US$4.017 (HK$31.53)
31 Dec 2018 US$3.783 (HK$29.67)
30 Nov 2018 US$4.014 (HK$31.35)

Financial Summary

Year Net Profit (Loss)
(US$'000)
Net Assets
(US$'000)
 
2018 (87,021) 575,055
2017 117,903 705,626
2016 (15,598) 561,315
2015 46,239 635,327
2014 148,628 640,128

Net Profit (Loss) (US$'000)


Net Assets (US$'000)

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