THE MEXICO FUND, INC. ISSUES ITS 2026 SEMI-ANNUAL REPORT
Published on: Wednesday 24 June 2026
As of April 30, 2026, the Fund's market price and NAV per share were $21.14 and $24.65, respectively, reflecting a discount of 14.24%, compared with a discount of 11.94% at the end of fiscal year 2025 ...
News source: https://finance.yahoo.com/markets/stocks/articles/mexico-fund-inc-issues-2026-133000625.html