Valuation: The Mexico Fund, Inc.

Market Cap 303M 264M 248M 226M 424M 28.98B 425M 2.98B 1.15B 14.76B 1.14B 1.11B 47.64B P/E 2024
-29.6x
P/E 2025 3.68x
Enterprise Value 303M 264M 248M 226M 424M 28.98B 425M 2.98B 1.15B 14.76B 1.14B 1.11B 47.64B EV / Sales 2024
19.7x
EV / Sales 2025 20.6x
Free-Float
98.92%
Yield 2024
6.28%
Yield 2025 4.85%
1 day-0.33%
1 week-1.92%
Current month-3.77%
1 month-5.13%
3 months-4.13%
6 months+5.02%
Current year+3.82%
1 week 20.54
Extreme 20.54
21.4
1 month 20.54
Extreme 20.54
22.33
Current year 19.54
Extreme 19.54
23
1 year 18.3
Extreme 18.3
23
3 years 12.99
Extreme 12.99
23
5 years 12.94
Extreme 12.9401
23
10 years 6.88
Extreme 6.88
23
Manager TitleAgeSince
Chief Executive Officer 58 01/03/2014
Compliance Officer 67 01/05/2015
Corporate Officer/Principal 38 01/01/2013
Director TitleAgeSince
Chairman 88 01/01/2002
Director/Board Member 88 01/06/1981
Director/Board Member 78 01/01/2006
Date Insider Type Main position Quantity % Market Cap. Importance
16/09/26
Saba Capital Management LP
BuyCompany 6,403 0.0444%
24/08/26 Buy

Director

677 0.0047%
13/08/26
Saba Capital Management LP
BuyCompany 2,952 0.0205%
Change 5-day change 1-year change 3-year change Capi.($)
-0.33%-1.92%+8.68%+23.76% 303M
-0.61%+1.45%+14.31%+119.45% 16.01B
-0.69%+5.58%+45.48%+171.19% 13.2B
+1.04%-2.37%-23.08%+23.42% 8.54B
-0.63%+2.45%+25.32%+146.12% 7.83B
-1.39%-1.52%-28.34%-19.08% 6.65B
+2.18%+2.14%+0.85%+21.49% 6.54B
-0.25%+1.16%+11.82%+26.41% 4.85B
+1.75%+2.99% - - 3.89B
-1.29%-2.92%+0.40%+0.15% 3.8B
Average -0.13%-0.51%+6.16%+56.99% 7.16B
Weighted average by Cap. -0.29%+0.10%+10.47%+83.66%

Financials

2024 2025
Net sales 10.51M 9.17M 8.63M 7.86M 14.74M 1.01B 14.76M 103M 39.84M 513M 39.48M 38.61M 1.66B 13.77M 12.01M 11.31M 10.3M 19.31M 1.32B 19.33M 135M 52.2M 672M 51.73M 50.58M 2.17B
Net income -6.99M -6.1M -5.74M -5.23M -9.81M -670M -9.82M -68.78M -26.51M -341M -26.27M -25.69M -1.1B 76M 66.26M 62.41M 56.83M 107M 7.28B 107M 747M 288M 3.71B 285M 279M 11.97B
Net Debt - -
Logo The Mexico Fund, Inc.
The Mexico Fund, Inc. (the Fund) is a non-diversified closed-end management investment company with the investment objective of long-term capital appreciation through investments in securities, primarily equity, listed on the Mexican Stock Exchanges. The Fund will generally invest at least 80% of its total assets in equity securities listed on the Mexican Stock Exchange but may reduce its holdings in equity securities listed on the Mexican Stock Exchange below 80% of its total assets for temporary defensive purposes when unusual market or economic conditions occur. The Fund may invest up to 20% of its assets in issuers that are listed on the Mexican Stock Exchanges, but which are organized outside of Mexico, provided each such issuer has a subsidiary organized in Mexico. It may also invest in dollar-denominated deposits and dollar-denominated investments such as United States Treasuries and Mexican Sovereign Debt, among others. Its investment adviser is Impulsora del Fondo Mexico, S.C.
Employees
-
Date Price Change Volume
22/09/26 $20.91 -0.33% 38,391
18/09/26 $20.98 -1.04% 22,833
17/09/26 $21.20 +0.14% 19,986
16/09/26 $21.17 +1.73% 44,974
15/09/26 $20.81 -2.39% 51,333
-40%: Exceptional extension
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