SQUAWK/NEWS
Account
Theme
Account
Menu
Live News REGULATION FLASH L impact

Mexico Fund reports $355.75 million net assets, NAV $24.67

Mexico Fund reported total net assets of $355.75 million and NAV per share of $24.67. Shares traded at an 11.92% discount in the August monthly update.

MXF

This is a real-time flash headline. A verified provider body is not available, so SquawkNews does not present it as a full article.