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MXF · Mexico Fund Inc
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TEAM-0.32% 13F +439META+3.01% 13F +2,694RCG-2.04% CLUSTERUTHR-4.03% 13F +425CRWV+4.49% 13F +693CRM+2.92% 13F +1,018CVNA-0.98% 13F +794TPL-0.71% 13F +444NET+4.32% 13F +710MSTR+17.56% 13F +526DELL+4.91% 13F +1,203CRWD+5.68% 13F +1,382ANET+1.22% 13F +1,323COIN+10.14% 13F +475TEAM-0.32% 13F +439META+3.01% 13F +2,694RCG-2.04% CLUSTERUTHR-4.03% 13F +425CRWV+4.49% 13F +693CRM+2.92% 13F +1,018CVNA-0.98% 13F +794TPL-0.71% 13F +444NET+4.32% 13F +710MSTR+17.56% 13F +526DELL+4.91% 13F +1,203CRWD+5.68% 13F +1,382ANET+1.22% 13F +1,323COIN+10.14% 13F +475
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MXF

MEXICO FUND INC
FUNDS & TRUSTS · REGISTERED INVESTMENT COMPANY · CIK 0000065433
CLUSTER · 3 INSIDERS☆ WATCH
INSIDER NET · 180D
$12.4M
open-market buys minus sells, Form 4 codes P and S
INSIDER BUYERS · 180D
3
CONGRESS BUYERS · 1Y
0
FUNDS ADDED · QTR
20
13F, latest reported quarter
REVENUE GROWTH
-
XBRL, annual
NET MARGIN
-
SEVEN FACTS, RANKED AGAINST THE SECTOR · RANK IS NOT A FORECAST
INSIDERS
net +$12.4M over 180 days
+$2.6M over 90 days · +$12.4M of it by a 10%+ holder
more than 97% of Funds & Trusts
CONGRESS
no member of Congress has reported trading it
FUNDS
20 funds added or opened last quarter
below 86% of Funds & Trusts
REVENUE
no revenue reported in any filing
MARGIN
no margin: this company reports no revenue to divide by
BUYBACKS
no share repurchases reported
SHORT
1.0 days to cover · settled 2026-07-31
THE SITUATION · EVERY LINE IS ONE RULE OVER ONE DATASET
3 insiders independently bought a net $12.4M — no planned sales are queued against it.
The year, with the filings on it
Total return indexed to 100 over the last 12 months · every marker is a federal filing, placed at its date — hover any marker for the detail
TOTAL 12M RETURN +25.1%
+25.1%12M
-1%+8%+18%+28%2025-092025-102025-122026-032026-052026-072026-09 2026-04-22 · Saba Capital Management, L.P. bought $2.2M2026-05-27 · Saba Capital Management, L.P. bought $993.4K2025-11-18 · Saba Capital Management, L.P. bought $905.3K2026-02-13 · Saba Capital Management, L.P. bought $728.9K2026-05-14 · Saba Capital Management, L.P. bought $728.4K2026-06-03 · Saba Capital Management, L.P. bought $708.0K2026-06-04 · Saba Capital Management, L.P. bought $693.7K2026-06-12 · Saba Capital Management, L.P. bought $657.9K2025-12-15 · Saba Capital Management, L.P. bought $575.8K2026-05-19 · Saba Capital Management, L.P. bought $494.5K2026-06-05 · Saba Capital Management, L.P. bought $430.8K2026-05-29 · Saba Capital Management, L.P. bought $409.4K2026-05-18 · Saba Capital Management, L.P. bought $401.3K2026-05-13 · Saba Capital Management, L.P. bought $335.2K2026-06-23 · Saba Capital Management, L.P. bought $323.9K2025-12-16 · Saba Capital Management, L.P. bought $323.7K2026-05-26 · Saba Capital Management, L.P. bought $316.7K2025-12-05 · Saba Capital Management, L.P. bought $303.5K2025-11-17 · Saba Capital Management, L.P. bought $254.8K2026-06-10 · Saba Capital Management, L.P. bought $237.0K2026-04-02 · Saba Capital Management, L.P. bought $229.8K2026-06-02 · Saba Capital Management, L.P. bought $214.2K2025-12-01 · Saba Capital Management, L.P. bought $212.0K2026-08-04 · Saba Capital Management, L.P. bought $207.7K2026-05-12 · Saba Capital Management, L.P. bought $198.1K2025-12-12 · Saba Capital Management, L.P. bought $187.2K2026-05-15 · Saba Capital Management, L.P. bought $183.3K2026-07-22 · Saba Capital Management, L.P. bought $166.2K2026-07-20 · Saba Capital Management, L.P. bought $164.0K2026-05-21 · Saba Capital Management, L.P. bought $155.3K2026-05-28 · Saba Capital Management, L.P. bought $148.5K2025-12-11 · Saba Capital Management, L.P. bought $121.4K2026-06-11 · Saba Capital Management, L.P. bought $110.5K2026-06-24 · Saba Capital Management, L.P. bought $108.7K2026-07-13 · Saba Capital Management, L.P. bought $103.8K2026-03-18 · Saba Capital Management, L.P. bought $101.9K2026-05-20 · Saba Capital Management, L.P. bought $99.9K2026-03-23 · Saba Capital Management, L.P. bought $99.0K2026-03-25 · Saba Capital Management, L.P. bought $96.9K2026-03-05 · Saba Capital Management, L.P. bought $95.6K2026-06-17 · Saba Capital Management, L.P. bought $89.7K2026-04-06 · Saba Capital Management, L.P. bought $81.0K
INSIDER BUY
INDEXED RETURN, DIVIDEND-ADJUSTED — NOT A PRICE CHART · LARGE TRADES DRAWN FIRST WHEN A NAME FILES HEAVILY
Live price
Daily candles from TradingView, on their licence — no filings are marked on this one
WHY THIS NAME IS ON THE DESK
3 insiders reported buying shares.
The record shows a net $12.4M bought by insiders over 180 days, 20 funds added last quarter. Every figure is a federal filing, dated the day it became public.
Same sector, ranked by filing activity
Sector from the SEC's own SIC classification
Insider transactions
Form 4 purchases and sales (codes P and S) — grants, option exercises and preferred conversions excluded

Over the last 180 days, MEXICO FUND INC insiders bought a net $12.4M of stock across 98 Form 4 purchases and sales, with 3 insider(s) buying. Source: SEC Form 4 filings, as of 2026-09-05.

INSIDER
FILED
SHARES
VALUE
Janez Claudia
Director
BUY
2026-08-24
677.0
$14.8K
Satterfield David Michael
Director
BUY
2026-08-14
689.612
$15.0K
Satterfield David Michael
Director
BUY
2026-08-14
1.0
$22
Saba Capital Management, L.P.
BUY
2026-08-13
2,952.0
$63.2K
Saba Capital Management, L.P.
BUY
2026-08-04
9,362.0
$207.7K
98 TRANSACTIONS ON RECORD

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Institutional holders
13F · holdings as of the latest quarter funds have reported
CITY OF LONDON INVESTMENT MANAGEMENT CO LTD
3,211,325.0 sh
$70.2M
Saba Capital Management, L.P.
2,260,134.0 sh
$49.4M
Allspring Global Investments Holdings, LLC
849,319.0 sh
$18.6M
LAZARD ASSET MANAGEMENT LLC
715,425.0 sh
$15.6M
1607 Capital Partners, LLC
258,378.0 sh
$5.7M
SCHEDULE 13D/G
No 5%+ ownership filings
Nobody has crossed 5% with a filing obligation. Absence is a fact here, not missing data.
FORM 144
No planned-sale notices
No insider has notified an intent to sell. This is the panel to watch after a run-up.
Fund concentration
N-PORT · funds ranked by how much of THEMSELVES they put in this stock — the conviction number 13F cannot show
Matisse Discounted Closed-End Fund Strategy
$2.7M POSITION · AS OF 2026-03-31
4.2%
Calamos CEF Income & Arbitrage ETF
$461.0K POSITION · AS OF 2026-04-30
1.5%
Saba Closed-End Funds ETF
$5.2M POSITION · AS OF 2026-02-28
1.3%
The Emerging Markets Portfolio
$2.3M POSITION · AS OF 2026-03-31
0.3%
Multi-Hedge Strategies Fund
$33.0K POSITION · AS OF 2026-03-31
0.1%
SEC N-PORT, MONTHLY WITH A ~60-DAY PUBLIC LAG · FUNDS ≥ $10M · % = SHARE OF THE FUND'S OWN BOOK
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Public filings, honestly analyzed. Official US government sources in one desk — every figure carries the date it was filed, and the methodology is published, backtest included.

SEC FORM 4FORM 13F 13D/GFORM 144XBRL STOCK ACTCONTRACTSFEC CFPBNRC
© 2026 WAVEMAN · SOURCE: SEC EDGAR & OFFICIAL GOVERNMENT DATA · NOT INVESTMENT ADVICE · CHART BY TRADINGVIEW · UPDATED 2026-09-05 ALL SYSTEMS LIVE FOR MACHINES →