This section contains performance figures of the Fund’s market price and NAV per share, as well as those of the two most important indices followed by investors on the Mexican Stock Exchange, as of the end of last month.

Performance in US Dollars

Performance
as of March 31, 2017
CumulativeAnnualized
1MYTD1 Y3 Y5 Y10 Y
Market Price11.41%10.23%-3.79%-7.72%0.31%2.30%
NAV per share11.50%16.71%-3.71%-4.38%0.66%1.40%
MSCI Mexico Index11.08%17.42%-1.46%-4.66%-1.64%1.24%
Bolsa IPC Index11.49%18.05%-0.50%-4.23%-1.76%1.75%
NAV vs MSCI0.42%-0.71%-2.25%0.28%2.30%0.16%

Performance in Mexican Pesos

Performance
as of March 31, 2017
CumulativeAnnualized
1MYTD1 Y3 Y5 Y10 Y
Market Price3.74%-0.42%4.26%4.05%8.22%7.85%
NAV per share3.83%5.44%4.35%7.82%8.59%6.90%
MSCI Mexico Index3.44%6.07%6.78%7.50%6.11%6.74%
Bolsa IPC Index3.81%6.65%7.83%7.99%5.98%7.27%
NAV vs MSCI0.39%-0.63%-2.43%0.32%2.48%0.16%

Sources: Impulsora del Fondo México, S.C., MSCI Inc., Bloomberg, All performance figures take into account the reinvestment of distributions.

Investment in the Fund is subject to investment risk, including the possible loss of the principal amount invested in the Fund. Movements in Mexican peso exchange rates may have a separate effect, unfavorable as well as favorable, on the gain or loss otherwise experienced on an investment.
Past performance is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted.

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