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.
Find public news by keyword, exact ticker, category and date.
Open a ticker page for its news coverage. The news search below stays a text search.
1 result loaded, newest first. End of these results. The latest changes are still being indexed. Try again shortly for updated results.
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.