等待開盤 09-27 09:30:00 美东时间
+0.040
+1.51%
Molten Ventures ( ($GB:GROW) ) has issued an update. Molten Ventures Plc announ...
09-26 14:24
U.S. Global Investors (NASDAQ:GROW) declares $0.0075/share monthly dividend, in line with previous. Forward yield 3.47% Payable Oct. 27; for shareholders of record Oct. 14; ex-div Oct. 14. Payable Nov...
09-23 04:16
U.S. Global Investors announces continued monthly dividends of $0.0075 per share from October to December 2025, with record and payment dates set. The company highlights gold's historic gains in 2025, driven by central bank buying and geopolitical uncertainty. CEO Frank Holmes notes miners' strong margins due to high gold prices and low costs, with Nyse Arca gold miners index hitting records. The U.S. Global GO GOLD ETF (GOAU) reached a new high ...
09-22 20:08
An announcement from Molten Ventures ( ($GB:GROW) ) is now available. Molten Ve...
09-17 14:24
【财华社讯】SHANGHAI GROWTH(00770.HK)公布,于2025年8月31日,公司之未经审核之每股资产净值为0.10美元。(出处:财华港股智能写手...
09-15 16:31
随着中国10年期国债收益率接近1.9%,Allianz Global Investors增持了中国国债,联博(AllianceBernstein)转向超配,A...
09-12 15:12
U.s. Global Investors (($GROW)) has held its Q4 earnings call. Read on for the ...
09-11 08:09
U.S. Global Investors press release (NASDAQ:GROW): FY GAAP EPS of -$0.03. Revenue of $8.45M (-23.0% Y/Y). Average assets under management for the fiscal year ended June 30, 2025, were $1.4 billion, do...
09-09 14:51
US Global Investors (NASDAQ:GROW) reported quarterly losses of $(0.02) per share. This is a 200 percent decrease over earnings of $0.02 per share from the same period last year. The company reported $1.960 million in
09-09 05:31
U.S. Global Investors, Inc. reported a net loss of $334,000 for the fiscal year ended June 30, 2025, compared to a net income of $1.3 million the previous year. Operating revenues fell 23% to $8.5 million, and average assets under management (AUM) decreased to $1.4 billion from $1.9 billion. The company highlighted a 9.1% shareholder yield, outperforming the 10-year Treasury bond. CEO Frank Holmes noted challenging markets but highlighted a rebou...
09-08 20:05
公司名稱
|
美国全球投资者
|
行業分類
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资产管理
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業務描述
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U.S. Global Investors, Inc. engages in the provision of investment advisory services. It operates through the Investment Management Services and Corporate Investments segments. The Investment Management Services segment offers a range of investment management products and services. The Corporate Investments segment invests in its own accounts to add growth and value to its cash position. The company was founded in 1968 and is headquartered in San Antonio, TX.
|
Molten Ventures ( ($GB:GROW) ) has issued an update. Molten Ventures Plc announ...
09-26 14:24
U.S. Global Investors (NASDAQ:GROW) declares $0.0075/share monthly dividend, in line with previous. Forward yield 3.47% Payable Oct. 27; for shareholders of record Oct. 14; ex-div Oct. 14. Payable Nov...
09-23 04:16
U.S. Global Investors announces continued monthly dividends of $0.0075 per share from October to December 2025, with record and payment dates set. The company highlights gold's historic gains in 2025, driven by central bank buying and geopolitical uncertainty. CEO Frank Holmes notes miners' strong margins due to high gold prices and low costs, with Nyse Arca gold miners index hitting records. The U.S. Global GO GOLD ETF (GOAU) reached a new high ...
09-22 20:08
An announcement from Molten Ventures ( ($GB:GROW) ) is now available. Molten Ve...
09-17 14:24
【财华社讯】SHANGHAI GROWTH(00770.HK)公布,于2025年8月31日,公司之未经审核之每股资产净值为0.10美元。(出处:财华港股智能写手...
09-15 16:31
随着中国10年期国债收益率接近1.9%,Allianz Global Investors增持了中国国债,联博(AllianceBernstein)转向超配,A...
09-12 15:12
U.s. Global Investors (($GROW)) has held its Q4 earnings call. Read on for the ...
09-11 08:09
U.S. Global Investors press release (NASDAQ:GROW): FY GAAP EPS of -$0.03. Revenue of $8.45M (-23.0% Y/Y). Average assets under management for the fiscal year ended June 30, 2025, were $1.4 billion, do...
09-09 14:51
US Global Investors (NASDAQ:GROW) reported quarterly losses of $(0.02) per share. This is a 200 percent decrease over earnings of $0.02 per share from the same period last year. The company reported $1.960 million in
09-09 05:31
U.S. Global Investors, Inc. reported a net loss of $334,000 for the fiscal year ended June 30, 2025, compared to a net income of $1.3 million the previous year. Operating revenues fell 23% to $8.5 million, and average assets under management (AUM) decreased to $1.4 billion from $1.9 billion. The company highlighted a 9.1% shareholder yield, outperforming the 10-year Treasury bond. CEO Frank Holmes noted challenging markets but highlighted a rebou...
09-08 20:05
派息除權日
|
每股總股息
| 派息日期 |
2025-12-15
|
0.007
|
2025-12-29
|
2025-11-10
|
0.007
|
2025-11-24
|
2025-10-14
|
0.007
|
2025-10-27
|
2025-09-15
|
0.007
|
2025-09-29
|
2025-08-11
|
0.007
|
2025-08-25
|
2025-07-14
|
0.007
|
2025-07-28
|
2025-06-16
|
0.007
|
2025-06-30
|
2025-05-12
|
0.007
|
2025-05-27
|
2025-04-14
|
0.007
|
2025-04-28
|
2025-03-17
|
0.007
|
2025-03-31
|
2025-02-10
|
0.007
|
2025-02-24
|
2025-01-13
|
0.007
|
2025-01-27
|
2024-12-16
|
0.007
|
2024-12-30
|
2024-11-08
|
0.007
|
2024-11-25
|
2024-10-11
|
0.007
|
2024-10-28
|
2024-09-16
|
0.007
|
2024-09-30
|
2024-08-12
|
0.007
|
2024-08-26
|
2024-07-15
|
0.007
|
2024-07-29
|
2024-06-10
|
0.007
|
2024-06-24
|
2024-05-03
|
0.007
|
2024-05-20
|
2024-04-05
|
0.007
|
2024-04-22
|
2024-03-08
|
0.007
|
2024-03-25
|
2024-02-09
|
0.007
|
2024-02-26
|
2024-01-05
|
0.007
|
2024-01-22
|
2023-12-08
|
0.007
|
2023-12-26
|
2023-11-10
|
0.007
|
2023-11-27
|
2023-10-05
|
0.007
|
2023-10-23
|
2023-09-08
|
0.007
|
2023-09-25
|
2023-08-11
|
0.007
|
2023-08-28
|
2023-07-07
|
0.007
|
2023-07-24
|
2023-06-09
|
0.007
|
2023-06-26
|
2023-05-05
|
0.007
|
2023-05-22
|
2023-04-06
|
0.007
|
2023-04-24
|
2023-03-10
|
0.007
|
2023-03-27
|
2023-02-10
|
0.007
|
2023-02-27
|
2023-01-06
|
0.007
|
2023-01-23
|
2022-12-09
|
0.007
|
2022-12-27
|
2022-11-10
|
0.007
|
2022-11-28
|
2022-10-14
|
0.007
|
2022-10-31
|
2022-09-09
|
0.007
|
2022-09-26
|
2022-08-05
|
0.007
|
2022-08-22
|
2022-07-08
|
0.007
|
2022-07-25
|
2022-06-10
|
0.007
|
2022-06-27
|
2022-05-06
|
0.007
|
2022-05-23
|
2022-04-08
|
0.007
|
2022-04-25
|
2022-03-11
|
0.007
|
2022-03-28
|
2022-02-11
|
0.007
|
2022-02-28
|
2022-01-07
|
0.007
|
2022-01-24
|
2021-12-10
|
0.007
|
2021-12-27
|
2021-11-12
|
0.007
|
2021-11-29
|
2021-10-07
|
0.007
|
2021-10-25
|
2021-09-10
|
0.005
|
2021-09-27
|
2021-08-13
|
0.005
|
2021-08-30
|
2021-07-09
|
0.005
|
2021-07-26
|
2021-06-11
|
0.005
|
2021-06-28
|
2021-05-07
|
0.005
|
2021-05-24
|
2021-04-09
|
0.005
|
2021-04-26
|
2021-03-12
|
0.005
|
2021-03-29
|
2021-02-12
|
0.002
|
2021-02-26
|
2021-02-05
|
0.002
|
2021-02-22
|
2021-01-08
|
0.002
|
2021-01-25
|
2020-12-11
|
0.002
|
2020-12-28
|
2020-11-13
|
0.002
|
2020-11-30
|
2020-10-08
|
0.002
|
2020-10-26
|
2020-09-11
|
0.002
|
2020-09-28
|
2020-08-14
|
0.002
|
2020-08-31
|
2020-07-10
|
0.002
|
2020-07-27
|
2020-05-08
|
0.002
|
2020-05-26
|
2020-04-09
|
0.002
|
2020-04-27
|
2020-03-13
|
0.002
|
2020-03-30
|
2020-02-07
|
0.002
|
2020-02-24
|
2020-01-10
|
0.002
|
2020-01-27
|
2019-12-06
|
0.002
|
2019-12-23
|
2019-11-07
|
0.002
|
2019-11-25
|
2019-10-10
|
0.002
|
2019-10-28
|
2019-09-13
|
0.002
|
2019-09-30
|
2019-08-09
|
0.002
|
2019-08-26
|
2019-07-12
|
0.002
|
2019-07-29
|
2019-06-07
|
0.002
|
2019-06-24
|
2019-05-10
|
0.002
|
2019-05-28
|
2019-04-12
|
0.002
|
2019-04-29
|
2019-03-08
|
0.002
|
2019-03-25
|
2019-02-08
|
0.002
|
2019-02-25
|
2019-01-11
|
0.002
|
2019-01-28
|
2018-12-14
|
0.002
|
2018-12-31
|
2018-11-08
|
0.002
|
2018-11-26
|
2018-10-12
|
0.002
|
2018-10-29
|
2018-09-07
|
0.002
|
2018-09-24
|
2018-08-10
|
0.002
|
2018-08-27
|
2018-07-13
|
0.002
|
2018-07-30
|
2018-06-08
|
0.002
|
2018-06-25
|
2018-05-14
|
0.002
|
2018-05-29
|
2018-04-13
|
0.002
|
2018-04-30
|
2018-03-09
|
0.002
|
2018-03-26
|
2018-02-09
|
0.002
|
2018-02-26
|
2018-01-12
|
0.002
|
2018-01-29
|
2017-12-11
|
0.002
|
2017-12-26
|
2017-11-10
|
0.002
|
2017-11-27
|
2017-10-13
|
0.002
|
2017-10-30
|
2017-09-08
|
0.002
|
2017-09-25
|
2017-08-10
|
0.002
|
2017-08-28
|
2017-07-13
|
0.002
|
2017-07-31
|
2017-06-08
|
0.002
|
2017-06-26
|
2017-05-11
|
0.002
|
2017-05-29
|
2017-04-06
|
0.002
|
2017-04-24
|
2017-03-09
|
0.002
|
2017-03-27
|
2017-02-09
|
0.002
|
2017-02-27
|
2017-01-12
|
0.002
|
2017-01-30
|
2016-12-08
|
0.002
|
2016-12-27
|
2016-11-09
|
0.002
|
2016-11-28
|
2016-10-05
|
0.002
|
2016-10-24
|
2016-09-08
|
0.002
|
2016-09-26
|
2016-08-11
|
0.002
|
2016-08-29
|
2016-07-07
|
0.002
|
2016-07-25
|
2016-06-09
|
0.002
|
2016-06-27
|
2016-05-12
|
0.002
|
2016-05-31
|
2016-04-07
|
0.002
|
2016-04-25
|
2016-03-10
|
0.002
|
2016-03-28
|
2016-02-10
|
0.002
|
2016-02-29
|
2016-01-07
|
0.002
|
2016-01-25
|
2015-12-10
|
0.002
|
2015-12-28
|
2015-11-05
|
0.002
|
2015-11-23
|
2015-10-08
|
0.002
|
2015-10-27
|
2015-09-10
|
0.005
|
2015-09-28
|
2015-08-06
|
0.005
|
2015-08-24
|
2015-07-09
|
0.005
|
2015-07-27
|
2015-06-11
|
0.005
|
2015-06-29
|
2015-05-07
|
0.005
|
2015-05-26
|
2015-04-09
|
0.005
|
2015-04-27
|
2015-03-05
|
0.005
|
2015-03-23
|
2015-02-05
|
0.005
|
2015-02-23
|
2015-01-08
|
0.005
|
2015-01-26
|
2014-12-11
|
0.005
|
2014-12-29
|
2014-11-06
|
0.005
|
2014-11-24
|
2014-10-08
|
0.005
|
2014-10-27
|
2014-09-11
|
0.005
|
2014-09-29
|
2014-08-07
|
0.005
|
2014-08-25
|
2014-07-10
|
0.005
|
2014-07-28
|
2014-06-05
|
0.005
|
2014-06-23
|
2014-05-08
|
0.005
|
2014-05-27
|
2014-04-10
|
0.005
|
2014-04-28
|
2014-03-06
|
0.005
|
2014-03-24
|
2014-02-06
|
0.005
|
2014-02-24
|
2014-01-09
|
0.005
|
2014-01-27
|
2013-12-05
|
0.005
|
2013-12-23
|
2013-11-06
|
0.005
|
2013-11-25
|
2013-10-03
|
0.005
|
2013-10-22
|
2013-09-05
|
0.005
|
2013-09-23
|
2013-08-08
|
0.005
|
2013-08-26
|
2013-07-11
|
0.005
|
2013-07-29
|
2013-06-06
|
0.005
|
2013-06-24
|
2013-05-09
|
0.005
|
2013-05-28
|
2013-04-11
|
0.005
|
2013-04-29
|
2013-03-07
|
0.005
|
2013-03-25
|
2013-02-07
|
0.005
|
2013-02-25
|
2013-01-10
|
0.005
|
2013-01-28
|
2012-12-19
|
0.02
|
2012-12-31
|
2012-12-06
|
0.02
|
2012-12-24
|
2012-11-07
|
0.02
|
2012-11-26
|
2012-10-11
|
0.02
|
2012-10-29
|
2012-09-06
|
0.02
|
2012-09-24
|
2012-08-09
|
0.02
|
2012-08-27
|
2012-07-05
|
0.02
|
2012-07-23
|
2012-06-07
|
0.02
|
2012-06-25
|
2012-05-10
|
0.02
|
2012-05-29
|
2012-04-05
|
0.02
|
2012-04-24
|
2012-03-08
|
0.02
|
2012-03-26
|
2012-02-09
|
0.02
|
2012-02-27
|
2012-01-06
|
0.02
|
2012-01-24
|
2011-12-08
|
0.02
|
2011-12-27
|
2011-11-09
|
0.02
|
2011-11-28
|
2011-10-05
|
0.02
|
2011-10-24
|
2011-09-08
|
0.02
|
2011-09-26
|
2011-08-11
|
0.02
|
2011-08-29
|
2011-07-07
|
0.02
|
2011-07-25
|
2011-06-09
|
0.02
|
2011-06-27
|
2011-05-06
|
0.02
|
2011-05-24
|
2011-04-07
|
0.02
|
2011-04-25
|
2011-03-10
|
0.02
|
2011-03-28
|
2011-02-10
|
0.02
|
2011-02-28
|
2011-01-06
|
0.02
|
2011-01-24
|
2010-12-09
|
0.02
|
2010-12-27
|
2010-11-08
|
0.02
|
2010-11-24
|
2010-10-06
|
0.02
|
2010-10-25
|
2010-09-09
|
0.02
|
2010-09-27
|
2010-08-05
|
0.02
|
2010-08-23
|
2010-07-08
|
0.02
|
2010-07-26
|
2010-06-10
|
0.02
|
2010-06-28
|
2010-05-06
|
0.02
|
2010-05-24
|
2010-04-08
|
0.02
|
2010-04-26
|
2010-03-08
|
0.02
|
2010-03-24
|
2010-02-08
|
0.02
|
2010-02-24
|
2010-01-11
|
0.02
|
2010-01-27
|
2009-12-10
|
0.02
|
2009-12-28
|
2009-11-05
|
0.02
|
2009-11-23
|
2009-10-08
|
0.02
|
2009-10-26
|
2009-09-10
|
0.02
|
2009-09-28
|
2009-08-06
|
0.02
|
2009-08-24
|
2009-07-09
|
0.02
|
2009-07-27
|
2009-06-11
|
0.02
|
2009-06-29
|
2009-05-07
|
0.02
|
2009-05-26
|
2009-04-08
|
0.02
|
2009-04-27
|
2009-03-06
|
0.02
|
2009-03-24
|
2009-02-06
|
0.02
|
2009-02-24
|
2009-01-08
|
0.02
|
2009-01-26
|
2008-11-26
|
0.02
|
2008-12-15
|
2008-10-30
|
0.02
|
2008-11-17
|
2008-10-02
|
0.02
|
2008-10-20
|
2008-09-04
|
0.02
|
2008-09-22
|
2008-07-31
|
0.02
|
2008-08-18
|
2008-07-02
|
0.02
|
2008-07-21
|
2008-05-29
|
0.02
|
2008-06-16
|
2008-05-01
|
0.02
|
2008-05-19
|
2008-04-03
|
0.02
|
2008-04-21
|
2008-02-28
|
0.02
|
2008-03-17
|
2008-01-31
|
0.02
|
2008-02-18
|
2008-01-03
|
0.02
|
2008-01-21
|
2007-11-29
|
0.02
|
2007-12-17
|
2007-11-01
|
0.02
|
2007-11-19
|
2007-09-27
|
0.02
|
2007-10-15
|
2007-08-29
|
0.010
|
2007-09-17
|
2007-08-02
|
0.010
|
2007-08-20
|
2007-06-28
|
0.010
|
2007-07-16
|
2007-06-07
|
0.010
|
2007-06-21
|
2007-03-15
|
0.25
|
2007-03-29
|