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Public company info - National Investments Fund Ltd. , 01227.HK

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National Investments Fund Ltd., 01227.HK - Basic Data
Basic Datum
Name National Investments Fund Ltd.
EPS Start Date 2020-01-01
EPS End Date 2020-12-31
Listing Date 2002-09-27
Trade Currency Hong Kong Dollar
Report Currency Hong Kong Dollar
Par Currency Hong Kong Dollar
Par 0.1
Authorized Capital (share) 10,000,000,000
Issued Capital (share) 1,640,609,974
Issue Cap-H (share) 0
Board Lot 20000
PNAV -0.0568
EPS -0.0323
P/E Ratio -0.71
DPS 0.0
Yield 0.0
Price/PNAV -0.4046
Index Constituent -
Price & Volume
1-Month Change (%) 0.0
3-Month Change (%) 0.0
52-Week Change (%) 0.0
1-Month HSI Relative (%) 0.0
3-Month HSI Relative (%) 0.0
52-Week HSI Relative (%) 0.0
Market Capital 37,730,000,000
52-Week High/Low (HKD) 0.0 / 0.0
1-Mth Avg Daily Vol (share) 0
3-Mth Avg Daily Vol (share) 0
Close Price 0.0
Technical Indicators
10-Day Moving Average 0.023
50-Day Moving Average 0.042
90-Day Moving Average 0.0
250-Day Moving Average 0.038
14-Day RSI 38.28

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