{"filings":[{"id":870797,"accession_number":"0001654954-26-005713","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-06-05T12:16:32+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund May 2026: NAV +2.73%, discount 12.09%, quarterly distribution $0.35","summary_kind":"llm","event_type":"other","confidence":"high","bullets":["Total net assets $365.16M; NAV $25.32; closing price $22.26; discount 12.09%.","Quarterly MDP distribution remains $0.35/share; no shares repurchased in May.","Fund's NAV up 2.73% in May, 12.70% YTD; market price up 5.30% and 14.12% YTD.","Mexico Central Bank cut rate 25 bps to 6.50%; Moody's downgraded to Baa3 (stable), S&P affirmed BBB (negative outlook).","Top holdings: Grupo México 16.47%, FEMSA 9.94%, Banorte 9.70%, Cemex 6.84%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.4,"calibrated_materiality_score":0.4,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":98320,"accession_number":"0001654954-26-004449","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-05-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund April NAV $24.65, discount 14.24%; 1-year NAV return +33.38%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $355.47M; NAV per share $24.65; closing price $21.14; discount 14.24%.","Monthly NAV return +1.57% (underperformed MSCI Mexico +2.28%); YTD NAV +9.68%.","Top holding Grupo México at 14.94% of net assets; top 10 holdings total 67.62%.","Managed Distribution Plan continues at $0.35/quarter; no shares repurchased in April.","Manager notes Q1 2026 Mexican GDP +0.2% annual; Fitch affirmed Mexico BBB- stable outlook."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.3,"calibrated_materiality_score":0.3,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":98319,"accession_number":"0001654954-26-003289","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-04-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund March NAV $24.61, discount 14.95%; NAV down 5.42% amid oil price spike","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $24.61, market price $20.93 (14.95% discount); total net assets $354.84M.","March NAV return -5.42%, outperforming MSCI Mexico Index -7.68%; YTD NAV +8.01%.","Quarterly distribution remains $0.35/share under Managed Distribution Plan.","Top holdings: Grupo Mexico 14.62%, Banorte 10.62%, FEMSA 10.42% (68% concentration).","Mexico central bank cut rate 25bp to 6.75%; peso depreciated 4.0% to Ps.17.94/USD."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.55,"calibrated_materiality_score":0.55,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":113709,"accession_number":"0001654954-26-001972","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-03-06T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund NAV +5.8% in Feb, discount at 12.34%, MDP $0.35/quarter","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Feb NAV return +5.8% (YTD +14.19%), 1-year NAV +55.22% vs MSCI Mexico +71.25%.","Net assets $375.17M, NAV $26.02, market price $22.81 (12.34% discount); no shares repurchased.","Managed Distribution Plan maintained at $0.35 per share quarterly; board may amend or terminate at any time.","Banxico held rate at 7.00%; Trump 10% global tariff exempts USMCA-compliant Mexican exports.","Top holdings: Grupo México 15.25%, FEMSA 10.02%, Banorte 9.72% of net assets."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":113708,"accession_number":"0001654954-26-000966","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-02-06T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund Jan NAV $24.59, discount 12.85%; monthly NAV return 7.93%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $354.6M; NAV per share $24.59; closing price $21.43, discount 12.85%.","Monthly NAV return 7.93%, market price return 8.08%; MSCI Mexico Index returned 9.09%.","Quarterly distribution of $0.35 per share authorized under Managed Distribution Plan.","Top holding Grupo México at 15.04% of net assets; top 10 holdings total 67.66%.","No shares repurchased in January 2026; expense ratio 1.36% as of Oct 31, 2025."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.3,"calibrated_materiality_score":0.3,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":113707,"accession_number":"0001654954-26-000168","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2026-01-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund NAV up 1.84% in Dec; YTD 44.49%; discount narrows to 12.85%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $23.11, market price $20.14, discount 12.85% as of Dec 31, 2025.","Total net assets $333.21M; outstanding shares 14,420,065; no shares repurchased in Dec.","Monthly NAV return +1.84%; YTD NAV return +44.49%; market price YTD return +61.48%.","Quarterly distribution of $0.35 per share maintained under Managed Distribution Plan.","Banxico cut reference rate 25bps to 7.00%; peso appreciated 1.6% to Ps. $18.01 in Dec."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"positive","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":130098,"accession_number":"0001654954-25-013696","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-12-05T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund (MXF) NAV +3.1% in Nov; discount at 14.76%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $22.69, market price $19.34; discount 14.76%.","Total net assets $327.2M; quarterly MDP distribution unchanged at $0.25/share.","Top ten holdings 65.84% of net assets; Grupo Mexico largest at 12.79%.","Banxico cut rate 25bp to 7.25%; Mexico Q3 GDP annual decline 0.3%.","Fund outperformed: NAV +3.05% vs MSCI Mexico +2.96% in Nov; YTD NAV +41.88%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.4,"calibrated_materiality_score":0.4,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":130097,"accession_number":"0001654954-25-012685","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-11-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund NAV -1.8% in Oct; MDP $0.25 quarterly distribution unchanged","summary_kind":"llm","event_type":"other","confidence":"medium","bullets":["NAV per share $22.02, closing price $19.39 (11.94% discount) as of Oct 31, 2025.","Total net assets $317.52 million, outstanding shares 14,420,065.","Monthly NAV -1.8%, MSCI Mexico Index -0.91%; 1-year NAV +31.17%.","Managed Distribution Plan authorizes $0.25 per share quarterly; board may amend.","Top holdings: Grupo Mexico 13.09%, Banorte 11.28%—67% in top ten names."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":130096,"accession_number":"0001654954-25-011533","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-10-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund September NAV up 8.7%, discount narrows to 13.14%","summary_kind":"llm","event_type":"other","confidence":"high","bullets":["NAV per share $22.68, market price $19.70; discount 13.14% as of Sep 30.","September NAV return +8.7% underperformed MSCI Mexico Index +10.0%.","Managed distribution unchanged at $0.25/quarter; no shares repurchased in Sep.","Top holdings: Grupo Mexico (12.27%), Banorte (11.70%), FEMSA (10.85%).","Banxico cut rate 25bps to 7.50%; S&P reaffirmed Mexico BBB/stable outlook."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":146687,"accession_number":"0001654954-25-010453","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-09-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund NAV up 2.15% in August; discount widens to 12.84%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $20.87; closing price $18.19; discount 12.84% (from prior month's 10.5% roughly).","Quarterly distribution remains $0.25/share under Managed Distribution Plan; no share repurchases in August.","Banxico cut reference rate 25bps to 7.75%; Mexico GDP 2025 estimate raised to 0.6% from 0.1%.","1-year NAV return 18.50% vs MSCI Mexico 22.51%; YTD NAV +29.00%.","Top holdings: Banorte 12.16%, FEMSA 10.37%, Grupo Mexico 10.03%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":146686,"accession_number":"0001999371-25-010741","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-08-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund July NAV $20.43, down 1.46%; market price up 3.08% to $17.86","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $294.59M; NAV $20.43; closing price $17.86 implies 12.58% discount.","July NAV return -1.46%, underperforming MSCI Mexico Index -1.11%; YTD NAV +26.28%.","Managed Distribution Plan unchanged at $0.25 quarterly; no shares repurchased in July.","Top 10 holdings 63.89% of assets; largest positions: Banorte 11.19%, FEMSA 10.41%.","Mexico preliminary Q2 2025 GDP +1.2% YoY; peso depreciated 0.7% to Ps. $18.88."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":146685,"accession_number":"0001999371-25-008773","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-07-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund increases quarterly distribution from $0.22 to $0.25 per share (13.6%)","summary_kind":"llm","event_type":"dividend","confidence":"high","bullets":["Quarterly dividend raised 13.6% to $0.25 per share; new annualized rate 5.7% of market price as of June 30, 2025.","NAV per share $20.99, closing price $17.57 — discount of 16.29%.","Total net assets $302.68M; no shares repurchased during June 2025.","Fund NAV up 2.23% in June (YTD +28.16%); MSCI Mexico Index up 3.17% (YTD +32.08%).","Banxico cut reference rate 50 bps to 8.00% in June; peso appreciated 3.7% vs. USD."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"positive","materiality_score":0.55,"calibrated_materiality_score":0.55,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":165084,"accession_number":"0001999371-25-007267","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-06-06T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund May NAV +5.49%, discount widens to 18.9%; $0.22 quarterly distribution maintained","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $20.53, closing price $16.65; discount 18.90% vs Apr's likely narrower level.","YTD NAV return +25.36%, benchmark MSCI Mexico Index +28.02%; 1-year NAV -3.77%.","Board maintains MDP at $0.22 per share quarterly; 46,684 shares repurchased in May.","Banxico cut rates 50 bps to 8.50%; US appellate court reversed ruling that Trump tariffs were illegal.","Top holdings: Fomento Económico 11.11%, Banorte 11.02%, Wal-Mart de México 9.74%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":165083,"accession_number":"0001999371-25-005566","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-05-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund reports April NAV +10.9%, discount widens to 20.20%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $19.46, closing price $15.53, discount 20.20% as of April 30, 2025.","Total net assets $281.59M; Fund repurchased 15,461 shares during April.","Quarterly distribution of $0.22 per share under Managed Distribution Plan (MDP) continues.","MSCI Mexico Index +12.8% in April; Fund's NAV underperformed at +10.9%.","Top holdings: Grupo Financiero Banorte 13.42%, FEMSA 11.58%, Wal-Mart de México 9.90%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.4,"calibrated_materiality_score":0.4,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":165082,"accession_number":"0001999371-25-003878","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-04-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund March NAV +0.8%, discount widens to 19.83%; U.S.-Mexico tariff uncertainty persists","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $17.75; closing price $14.23; discount 19.83% as of March 31, 2025.","Fund repurchased 39,903 shares during March.","1-year NAV return -21.60%, underperforming MSCI Mexico Index (-21.32%).","Banxico cut reference rate 50bp to 9.00%; U.S. tariffs on non-USMCA goods set at 25%.","Managed distribution plan maintains $0.22 quarterly per share."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.6,"calibrated_materiality_score":0.6,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":182790,"accession_number":"0001839882-25-014286","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-03-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports NAV $17.61, discount 19.65%; YTD NAV +6.3%, 1-yr -16.5%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Monthly NAV per share $17.61, market price $14.15; 1-month NAV +0.95%, market +2.98%.","Fund repurchased 68,902 shares in Feb 2025; quarterly MDP stays at $0.22/share.","Top holdings: Banorte 12.12%, FEMSA 11.38%, Grupo México 9.38%, Walmart de México 9.10%.","Banxico cut rates 50bps to 9.50%; U.S. imposed 25% tariff on Mexico effective Mar 4, 2025.","Net assets $255.77M; expense ratio 1.35%; portfolio turnover 13.72% (as of Oct 2024)."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":182789,"accession_number":"0001999371-25-001280","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-02-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports Jan 2025 NAV $17.24, discount 21.64%, quarterly dividend $0.22","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Net assets $251.49M; NAV per share $17.24 vs. market price $13.51 (21.64% discount).","One-month NAV total return +4.03% (market +3.98%); year-to-date same.","Board authorized quarterly MDP distribution of $0.22 per share (unchanged).","Fund repurchased 89,133 shares during January 2025.","Top holdings: Banorte 12.12%, FEMSA 10.50%, Grupo Mexico 9.96%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":182788,"accession_number":"0001999371-25-000198","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2025-01-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund reports Dec 2024 NAV per share $16.78, YTD return -25.59%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $16.78 vs. closing price $13.20; discount 21.33%.","YTD NAV total return -25.59%; MSCI Mexico Index -27.09%.","Quarterly MDP distribution of $0.22 per share authorized.","Repurchased 91,714 shares during December 2024.","Top 10 holdings comprise 66.40% of net assets; Banorte largest at 11.49%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":199366,"accession_number":"0001999371-24-015236","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-12-06T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"MXF reports Nov NAV of $17.00; discount widens to 20.29%; tariff and rating risks cited","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Net assets $251.15M; NAV $17.00; market price $13.55; discount 20.29%.","Monthly NAV return -3.47%, YTD -24.61%, roughly in line with MSCI Mexico.","Quarterly distributions authorized at $0.22 per share under MDP.","Manager flags Trump's proposed 25% tariff on Mexican goods and Moody's negative outlook revision.","Top holdings concentrated: Banorte (11.64%), FEMSA (10.83%), Grupo Mexico (10.76%)."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":199365,"accession_number":"0001999371-24-014320","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-11-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund NAV down 5.5% in Oct; discount widens to 20.44%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share fell 5.5% to $17.61; market price dropped 5.69% to $14.01 (Oct 2024).","Fund underperformed MSCI Mexico Index (-4.57%) with NAV down 5.47% and market price down 5.69%.","Top 10 holdings represent 67.04% of net assets; top is Grupo Financiero Banorte at 11.76%.","Quarterly distribution of $0.22 per share unchanged under Managed Distribution Plan.","Total net assets $260.18M; no shares repurchased during October."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.4,"calibrated_materiality_score":0.4,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":199364,"accession_number":"0001839882-24-032806","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-10-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports September NAV $18.86, discount 19.99%; YTD NAV -17.36%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $18.86; closing price $15.09; discount 19.99%.","1-month NAV return +2.00%; YTD NAV -17.36%; 1-year NAV -4.48%.","Quarterly distribution of $0.22 per share under Managed Distribution Plan.","No shares repurchased during September 2024.","Manager notes Claudia Sheinbaum sworn in as Mexico's first female president on Oct 1."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.4,"calibrated_materiality_score":0.4,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":215399,"accession_number":"0001839882-24-028649","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-09-09T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"MXF August NAV falls 6.1%; discount widens to 19.69% on peso weakness, reform risks","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $18.49; closing price $14.85 (discount 19.69%); YTD NAV -18.98%.","MSCI Mexico Index dropped 5.7% in August; peso depreciated 5.6% to Ps. 19.73/$.","Fund repurchased no shares in August; quarterly MDP unchanged at $0.22/share.","Manager flags risk from proposed constitutional reforms to judicial appointments.","Banxico cut reference rate 25 bps to 10.75%; Q2 Mexico GDP grew 2.1% YoY."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.55,"calibrated_materiality_score":0.55,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":215398,"accession_number":"0001999371-24-009670","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-08-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund Reports July 2024 Monthly Summary with NAV of $19.69 and 19.96% Discount","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $290.87 million, NAV per share $19.69, closing price $15.76.","Managed Distribution Plan authorizes quarterly distributions of $0.22 per share; no shares repurchased in July.","Top holdings include Fomento Económico Mexicano 12.27% and Grupo México 11.25%.","Fund's NAV decreased 0.1% in July, underperforming MSCI Mexico Index which gained 1.0%.","Fitch affirmed Mexico's 'BBB-' credit rating with stable outlook."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":215397,"accession_number":"0001839882-24-021199","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-07-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"MXF NAV drops 10.9% in June as Mexican election triggers market sell-off","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share fell 10.9% to $19.92; market price down 10.66% to $16.00.","MSCI Mexico Index declined 11.0%; peso depreciated 7.1% vs. USD to Ps.18.32.","Discount widened to 19.68%; total net assets $294.19 million.","Top holdings: FEMSA (11.80%), Banorte (10.58%), Walmart Mexico (9.24%).","Quarterly MDP distribution unchanged at $0.22/share; no shares repurchased."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.6,"calibrated_materiality_score":0.6,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":234710,"accession_number":"0001999371-24-007257","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-06-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund NAV down 1.2% in May; Mexican election volatility noted","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $22.36; market price $17.91 for a 19.90% discount.","YTD NAV –3.04%; market price –3.83%; 1-year NAV +13.08%.","Quarterly distribution of $0.22 per share unchanged under MDP.","No shares repurchased in May 2024.","Manager comments on Mexican election results causing near-term negative volatility in equities and peso."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.45,"calibrated_materiality_score":0.45,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":234709,"accession_number":"0001999371-24-005679","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-05-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund April NAV down 3.54%; discount widens to 20.47%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $334.2M; NAV $22.62, market price $17.99 (discount 20.47%).","Month: NAV -3.54%, price -5.25%; YTD: NAV -1.91%, price -3.40%.","Quarterly distribution remains $0.22 per share under MDP.","No shares repurchased in April.","Top holdings: Banorte 11.84%, FEMSA 11.30%, Grupo Mexico 9.24%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":234708,"accession_number":"0001839882-24-010731","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-04-05T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund March NAV up 6.81%, outperforms MSCI Mexico; Banxico cuts rate to 11.00%","summary_kind":"llm","event_type":"other","confidence":"high","bullets":["NAV per share $23.68; closing price $19.22 (18.83% discount to NAV).","March NAV return 6.81%, vs. MSCI Mexico Index 5.30%.","Total net assets $349.86M; no shares repurchased during month.","Quarterly distribution under MDP remains $0.22 per share.","Banxico cut overnight rate 25 bps to 11.00% — first reduction since 2021."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":252564,"accession_number":"0001999371-24-003196","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-03-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"The Mexico Fund reports February NAV of $22.17, discount 18.63%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $327.56M; NAV per share $22.17; market price $18.04 per share.","1-month NAV return -3.19% vs MSCI Mexico Index -2.55%; YTD NAV -4.80%.","Top ten holdings 65.75% of net assets; largest holding Grupo Financiero Banorte 12.62%.","Banxico held overnight rate at 11.25%; Mexico Q4 2023 GDP up 2.5% YoY.","Quarterly MDP distribution maintained at $0.22 per share; no shares repurchased in February."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.3,"calibrated_materiality_score":0.3,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":252563,"accession_number":"0001839882-24-003602","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-02-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports Jan NAV $22.90, pays increased quarterly distribution of $0.22/share","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $22.90; market price $18.73; discount 18.21%; total net assets $338.22M.","Q1 2024 distribution of $0.22/share paid Jan 25, a 10% increase from $0.20.","Jan NAV return -1.66%; market price -0.65%; 1-year NAV +17.67%, market +17.75%.","Top holdings: Fomento Económico Mexicano 12.95%, Banorte 12.33%, Grupo México 9.00%.","No shares repurchased in Jan; expense ratio 1.35%; portfolio turnover 13.73% (annualized)."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":252562,"accession_number":"0001839882-24-000523","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2024-01-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports Dec NAV up 8.9%, YTD return 38.1%, discount 18.88%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $23.52, market price $19.08, discount 18.88%.","Quarterly distribution of $0.22 per share under Managed Distribution Plan.","YTD NAV total return 38.06% vs MSCI Mexico Index 40.70% (underperformed).","Top holdings: FEMSA 12.1%, Banorte 11.87%, Grupo Mexico 9.42%.","Mexican peso appreciated 2.4% to Ps.16.97; Banxico held rate at 11.25%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":270069,"accession_number":"0001839882-23-033071","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-12-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund November NAV $21.60, discount 19.26%; 1-month return +13.86%","summary_kind":"llm","event_type":"other","confidence":"high","bullets":["Total net assets $319.12M; NAV per share $21.60; closing price $17.44 (discount 19.26%).","1-month NAV return +13.86% (MSCI Mexico Index +15.40%); YTD NAV +26.79%.","Top holdings: FEMSA (12.86%), Banorte (11.94%), Grupo Mexico (8.47%).","No shares repurchased in Nov; quarterly distributions authorized at $0.20/share under MDP.","Banxico held rate at 11.25%; Mexico reduced FCL from $50B to $35B."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.35,"calibrated_materiality_score":0.35,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":270068,"accession_number":"0001387131-23-013086","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-11-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund October NAV falls 6.78%, discount 20.40%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $18.97, closing price $15.10 (20.40% discount); total net assets $280.17M.","October 2023 monthly return: NAV -6.78%, market price -7.09%, vs MSCI Mexico Index -5.95%.","Board authorized quarterly distributions of $0.20 per share under Managed Distribution Plan.","No shares repurchased during the month.","Fund now provides 15-year annualized NAV return of 7.39% vs benchmark 5.78%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"negative","materiality_score":0.55,"calibrated_materiality_score":0.55,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":270067,"accession_number":"0001387131-23-011966","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-10-06T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund Sept NAV -5.1%, discount 19.89%; $0.20 quarterly distribution maintained","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $20.56, closing price $16.47, discount 19.89% as of Sep 30, 2023.","1-month NAV return -5.12% vs MSCI Mexico -5.49%; YTD NAV +19.44%.","Quarterly distribution of $0.20 per share under Managed Distribution Plan.","Fund repurchased 23,734 shares during September.","Top holdings: FEMSA 12.05%, Banorte 11.32%, America Movil 10.55%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.3,"calibrated_materiality_score":0.3,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":287048,"accession_number":"0001387131-23-010931","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-09-08T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"MXF August NAV $21.67, discount 19.47%; repurchased 69,070 shares","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $21.67, closing price $17.45, discount 19.47% as of Aug 31, 2023.","Fund repurchased 69,070 shares in August; total net assets $320.67M.","Monthly returns: NAV -4.45%, Market Price -2.89%, MSCI Mexico -5.43%.","Quarterly distribution of $0.20/share authorized under Managed Distribution Plan.","Top holdings: Fomento Económico Mexicano 11.00%, América Móvil 10.87%, Banorte 10.31%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.5,"calibrated_materiality_score":0.5,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":287047,"accession_number":"0001387131-23-009348","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-08-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund July NAV +5.6% vs benchmark +4.2%; 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repurchases 41,167 shares in month","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $21.67 as of June 30, 2023; market price $16.78, discount 22.57%.","Fund repurchased 41,167 shares in June 2023 under its open market share repurchase policy.","Managed distribution plan maintains quarterly dividend of $0.20 per share.","Top holdings: América Móvil (12.06%), Fomento Económico Mexicano (10.92%), Grupo Financiero Banorte (9.92%).","Banxico held rates at 11.25%; Fitch affirmed Mexico's BBB- rating with stable outlook."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.3,"calibrated_materiality_score":0.3,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":307102,"accession_number":"0001387131-23-007311","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-06-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports May NAV $20.56, market price $16.21, discount 21.16%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $308.57M; NAV per share $20.56; closing price $16.21.","Monthly NAV return -2.61%; YTD NAV return +18.38%; MSCI Mexico -2.38% for month.","Quarterly distribution of $0.20 per share under Managed Distribution Plan.","Top holdings: América Móvil 12.45%, Fomento Económico Mexicano 10.77%, Banorte 10.13%."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":307101,"accession_number":"0001387131-23-006085","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-05-05T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund April 2023 monthly: net assets $316.78M, NAV $21.11, discount 21%","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["Total net assets $316.78M as of April 30, 2023; NAV per share $21.11; closing price $16.68 (discount 20.99%).","MXF NAV returned +2.12% in April; MSCI Mexico Index +2.72%; market price -0.80%.","Quarterly distribution of $0.20 per share continues under Managed Distribution Plan.","Top holdings: América Móvil 12.24%, Banorte 10.63%, FEMSA 10.12%, Wal-Mart de México 8.52%.","Fund manager cites Mexico Q1 2023 preliminary GDP growth of 3.8% annualized; company sales +6.4% YoY."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":307100,"accession_number":"0000945621-23-000204","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-04-10T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund reports March NAV $20.87, discount 18.45%; maintains $0.20 quarterly distribution","summary_kind":"llm","event_type":"other_material","confidence":"high","bullets":["NAV per share $20.87; market price $17.02; discount 18.45% as of March 31, 2023.","1-month NAV return +3.42% vs. MSCI Mexico Index +2.98%.","Quarterly distribution of $0.20 per share authorized under Managed Distribution Plan.","Top 10 holdings represent 67.39% of net assets; América Móvil (12.06%) largest position.","No shares repurchased during March 2023."],"consensus_eps_estimate":null,"consensus_eps_actual":null,"consensus_revenue_estimate":null,"consensus_revenue_actual":null,"consensus_period":null,"consensus_source":null,"sentiment":"neutral","materiality_score":0.25,"calibrated_materiality_score":0.25,"market_cap_usd":311620000.0,"market_cap_bucket":"not_microcap","market_cap_source":"finnhub_profile2","market_cap_as_of_date":"2026-05-28","daily_digest_date":null,"daily_digest_url":null,"daily_digest_rank":null},{"id":326175,"accession_number":"0000945621-23-000125","cik":65433,"company_name":"MEXICO FUND INC","ticker":"MXF","form_type":"8-K","filed_at":"2023-03-07T23:59:59+00:00","items":["7.01","9.01"],"status":"ready","headline":"Mexico Fund Feb. 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