MXFNYSE
The Mexico Fund, Inc.
$22.29
ListedJun 4, 1981
SectorFinancial Services
IndustryAsset Management
CountryMexico
Employees-
StateDF| CityMexico City| AddressAristoteles No. 77| Phone5255 91383350
The Mexico Fund, Inc. is a closed-ended equity mutual fund launched and managed by Impulsora del Fondo México, S.C. It primarily invests in public equity markets of Mexico. The fund seeks to invest its portfolio across diversified sectors. The Mexico Fund, Inc. was formed in June 01, 1981 and is domiciled in Maryland, United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
4.2
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Div. Rate
$1.40
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Div. Yield
6.29%
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Payout Ratio
17.87%
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Max Consec. Div. Years
30 years
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Longest Consec. Div.
30 years
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Div. Coverage
93%
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Div. Stability Rate
0.30
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Div. Growth Rate
100.00%
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Score
90

Dividend History

Historical dividend payments by ex-dividend date.

Apr 22, 2026
$ 0.3500
Jan 21, 2026
$ 0.3500
Oct 22, 2025
$ 0.2200
Jul 22, 2025
$ 0.2500
Apr 22, 2025
$ 0.2200
Jan 22, 2025
$ 0.2200
Oct 22, 2024
$ 0.2200
Jul 17, 2024
$ 0.2200
Apr 16, 2024
$ 0.2200
Jan 16, 2024
$ 0.2200
Oct 17, 2023
$ 0.2000
Jul 18, 2023
$ 0.2000
Apr 18, 2023
$ 0.2000
Jan 17, 2023
$ 0.2000
Oct 18, 2022
$ 0.1800
Jul 19, 2022
$ 0.1800
Apr 19, 2022
$ 0.1800
Jan 19, 2022
$ 0.1800
Oct 20, 2021
$ 0.1800
Jul 21, 2021
$ 0.1800
Apr 22, 2020
$ 0.1800
Jan 22, 2020
$ 0.2500
Oct 22, 2019
$ 0.2500
Jul 22, 2019
$ 0.2500
Apr 22, 2019
$ 0.2500
Jan 22, 2019
$ 0.2500
Oct 16, 2018
$ 0.2500
Jul 17, 2018
$ 0.1500
Apr 18, 2018
$ 0.1500
Jan 17, 2018
$ 0.1300
Oct 16, 2017
$ 0.1300
Jul 14, 2017
$ 0.1300
Apr 18, 2017
$ 0.1300
Jan 4, 2017
$ 0.1420
Oct 14, 2016
$ 0.1420
Jul 12, 2016
$ 0.2830
Apr 12, 2016
$ 0.2830
Dec 21, 2015
$ 0.3400
Oct 8, 2015
$ 0.3400
Jul 10, 2015
$ 0.5660
Apr 7, 2015
$ 0.5660
Dec 23, 2014
$ 0.7330
Oct 10, 2014
$ 0.7150
Jul 11, 2014
$ 0.7150
Apr 7, 2014
$ 0.7150
Dec 23, 2013
$ 0.8650
Oct 7, 2013
$ 0.7700
Jul 15, 2013
$ 0.7700
Apr 8, 2013
$ 0.7700
Dec 21, 2012
$ 0.6260
Oct 11, 2012
$ 0.5960
Jul 17, 2012
$ 0.5960
Apr 5, 2012
$ 0.5960
Dec 27, 2011
$ 0.8210
Oct 3, 2011
$ 0.7920
Jul 1, 2011
$ 0.7920
Apr 1, 2011
$ 0.7920
Dec 16, 2010
$ 0.6620
Oct 4, 2010
$ 0.6300
Jul 2, 2010
$ 0.6300
Apr 5, 2010
$ 0.6300
Dec 28, 2009
$ 0.4630
Oct 15, 2009
$ 0.4200
Jul 10, 2009
$ 0.4200
Apr 16, 2009
$ 0.1000
Dec 16, 2008
$ 1.2390
Nov 12, 2008
$ 1.1300
Sep 12, 2008
$ 1.1300
Dec 26, 2007
$ 6.0420
Dec 27, 2006
$ 3.9790
Dec 19, 2005
$ 2.9090
Dec 28, 2004
$ 0.7120
Dec 11, 2003
$ 0.3060
Dec 19, 2002
$ 0.7930
Dec 26, 2001
$ 0.2370
Nov 14, 2001
$ 2.5500
Jun 27, 2001
$ 0.1280
Dec 27, 2000
$ 0.0500
Sep 27, 2000
$ 0.0770
Jun 28, 2000
$ 0.0900
Dec 22, 1999
$ 0.0190
Sep 28, 1999
$ 0.1850
Dec 29, 1998
$ 0.5000
Sep 28, 1998
$ 0.1200
Jun 26, 1998
$ 0.1100
Dec 18, 1997
$ 0.5950
Sep 26, 1997
$ 0.2400
Jun 26, 1997
$ 0.1200
Dec 26, 1996
$ 0.0400
Sep 26, 1996
$ 0.1700
Jun 26, 1996
$ 0.1500
Mar 27, 1996
$ 0.0800
Dec 22, 1994
$ 0.0670
Sep 26, 1994
$ 0.3600
Jun 24, 1994
$ 0.0770
Dec 22, 1993
$ 0.5500
Oct 8, 1993
$ 0.7300
Jun 28, 1993
$ 0.2342
Dec 4, 1992
$ 0.6732
Oct 26, 1992
$ 0.1432
Jun 24, 1992
$ 0.2418
Mar 24, 1992
$ 0.1233
Dec 20, 1991
$ 1.0524
Jul 25, 1991
$ 0.2494
Dec 24, 1990
$ 0.0322
Oct 25, 1990
$ 0.0436
Jul 25, 1990
$ 0.2636
Apr 24, 1990
$ 0.0370
Dec 22, 1989
$ 0.0597
Oct 25, 1989
$ 0.1365
Jul 25, 1989
$ 0.2939
Apr 24, 1989
$ 0.1024
Dec 23, 1988
$ 0.0493
Oct 25, 1988
$ 0.0493
Jul 25, 1988
$ 0.0237
Aug 26, 1987
$ 0.1422
May 26, 1987
$ 0.0664
Mar 10, 1987
$ 0.0664
Nov 10, 1986
$ 0.0569
Aug 12, 1986
$ 0.1270
May 13, 1986
$ 0.0284
Feb 10, 1986
$ 0.0379
Aug 12, 1985
$ 0.1071
May 10, 1985
$ 0.0370
Feb 7, 1985
$ 0.0427
Nov 2, 1983
$ 0.2465
Feb 16, 1983
$ 0.6732

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