MEXICO Dividend Tuesday, September 8, 2026 0.00 Neutral

Mexico Fund reports net assets of $355.75 million as of Aug. 31

The fund posted a 0.33% monthly NAV return and the board maintains the quarterly $0.35 distribution managed distribution plan.

View original filing at SEC.gov →
AI-generated summary for informational purposes only. Always verify against the original filing. Not investment advice. BriefTape is not a registered investment adviser.

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