---
schema_version: "secwatch.filing_event.v1"
accession: "0001999371-24-009670"
form_type: "8-K"
ticker: "MXF"
cik: "0000065433"
company_name: "MEXICO FUND INC"
filed_at: "2024-08-07T23:59:59+00:00"
generated_at: "2026-05-31T11:56:56.669430+00:00"
event_type: "other_material"
sentiment: "neutral"
materiality_score: 0.5
calibrated_materiality_score: 0.5
confidence: "high"
source: SEC EDGAR
---

# The Mexico Fund Reports July 2024 Monthly Summary with NAV of $19.69 and 19.96% Discount

## Summary
- 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.

## SEC filing metadata
- accession: 0001999371-24-009670
- form_type: 8-K
- ticker: MXF
- cik: 0000065433
- company_name: MEXICO FUND INC
- filed_at: 2024-08-07T23:59:59+00:00
- event_type: other_material
- sentiment: neutral
- materiality_score: 0.5
- calibrated_materiality_score: 0.5
- confidence: high
- sec_items: 7.01, 9.01
- EDGAR index: https://www.sec.gov/Archives/edgar/data/65433/000199937124009670/0001999371-24-009670-index.htm
- EDGAR primary document: https://www.sec.gov/Archives/edgar/data/65433/000199937124009670/mxf-8k_073124.htm

## Machine-readable alternates
- HTML: https://secwatch.observer/filing/0001999371-24-009670
- JSON: https://secwatch.observer/filing/0001999371-24-009670.json
- Plain text: https://secwatch.observer/filing/0001999371-24-009670.txt

This AI-assisted summary is a reading aid. Review the linked SEC EDGAR filing before relying on any specific claim.
