other material
confidence high
sentiment negative
materiality 0.60
Mexico Fund March NAV +0.8%, discount widens to 19.83%; U.S.-Mexico tariff uncertainty persists
MEXICO FUND INC
- 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.