dividend
confidence high
sentiment positive
materiality 0.55
Mexico Fund increases quarterly distribution from $0.22 to $0.25 per share (13.6%)
MEXICO FUND INC
- 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.
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