Objective
Profile
| Fund type | Open Ended Investment Company |
|---|---|
| Income treatment | -- |
| Morningstar category | -- |
| Launch date | 30/01/2007 |
| Price currency | MXN |
| Domicile | -- |
| ISIN | US74347X6334 |
| Manager & start date |
Investment
| Fund size | -- |
|---|---|
| Share class size | -- |
| Market cap | 10.20bn MXN |
| Shares outstanding | 8.29m |
| Average volume (10-day) | 245 |
| Net expense ratio | -- |
| Last dividend | 0.0137 MXN |
| Div yield | 0.45% |
| Div ex-date | 03/20/2013 |
| Div pay-date | 03/26/2013 |
| UK ISA | -- |
| Available for sale | -- |
Diversification
Asset type
Asset type data is unavailable.
Top 5 sectors
Sector weighting data is unavailable.
Top 5 Regions
Regional weighting data is unavailable.
Top 5 holdings
Top holding data is unavailable

