招商局中國基金(00133.HK)5月底每股資產淨值 1970-01-01T00:00:00-05:00January 1st, 1970| share this article!【財華社訊】招商局中國基金(00133.HK)公佈,於2021年5月31日之未經審計每股資產淨值為5.73美元(44.48港元)。(出處:FinetAI) Read More share this article! Related Posts Chinese carmaker Chery banks on battery technology to rev up transition to EVs May 18th, 2024 Dow ends above 40,000 milestone, other indexes notch weekly gains May 17th, 2024 India: Wipro COO Amit Choudhary quits, business head Jain to take over May 17th, 2024 Haidilao restaurant operator Super Hi surges 46% on U.S. listing debut May 17th, 2024