THE CHINA FUND, INC. RECORDS THIRD QUARTER RESULTS

THE CHINA FUND, INC. RECORDS THIRD QUARTER RESULTS

FOR IMMEDIATE RELEASE

CONTACT:
Michael He
AST Fund Solutions
201.806.7310
mhe@astfinancial.com

Chairman Julian Reid
+44 7768 068 200


NEW YORK, New York, September 10, 2021 --- The China Fund, Inc. (NYSE: CHN) today announced its financial results for its third fiscal quarter ended July 31, 2021. The Fund is a closed-end management investment company with the objective of seeking long-term capital appreciation by investing primarily in equity securities (i) of companies for which the principal securities trading market is in the People’s Republic of China (“China”), or (ii) of companies for which the principal securities trading market is outside of China, or constituting direct equity investments in companies organized outside of China, that in both cases derive at least 50% of their revenues from goods and services sold or produced, or have at least 50% of their assets, in China. Whilst the Fund is permitted to invest in direct equity investments of companies organized in China, it presently holds no such investments.

 

Nine Months Ended

 July 31, 2021

Twelve Months Ended

 October 31, 2020

Nine Months Ended

July 31, 2020

 Net Investment Income $1,076,354  $675,279  $1,130,724
 Net Investment Income Per share  $0.10   $0.06  $0.11
 Net Realized and Unrealized
 Gains on Investments
 and  Foreign  Currency Transactions
$18,152,584 $104,894,256 $81,335,467

 

 

Nine Months Ended

 July 31, 2021

Twelve Months Ended

 October 31, 2020

Nine Months Ended

July 31, 2020

 Net Realized and Unrealized Gains
 on Investments and Foreign
 Currency Transactions Per Share
$1.74 $10.04  $7.77
 Total Net Assets  $323,747,776 $329,412,097 $306,900,128
 Net Asset Value $31.06 $31.52   $29.30
 Shares Outstanding  10,424,861  10,449,992 10,473,095 

 

The Fund’s total net assets on July 31, 2021 were $323,747,776 and its net asset value per share was $31.06 based on 10,424,861 shares outstanding. A combined distribution of $2.3123 per share from net investment income and realized gains was made in December 2020.

 

The China Fund, Inc. is listed on the New York Stock Exchange under the ticker symbol "CHN".

The Fund’s investment manager is Matthews International Capital Management, LLC.

For further information regarding the Fund and the Fund’s holdings, please call (888)-CHN-CALL or visit the Fund’s website at www.chinafundinc.com.

 


 

Back to Company Announcements