等待開盤 06-26 09:30:00 美东时间
-0.030
-0.94%
UPDATE 1-Foundation Healthcare seeks up to $187 million in Singapore IPO Updates with details and context from term sheet throughout By Yantoultra Ngui SINGAPORE, June 23 (Reuters) - Foundation Healthcare Holdings, a Singapore-based private healthcare group backed by SeaTown, is seeking to raise S$2
06-23 12:21
Singapore's Foundation Healthcare lodges Singapore IPO prospectus SINGAPORE, June 23 (Reuters) - Foundation Healthcare Holdings, a Singapore-based private healthcare group backed by Temasek's SeaTown Holdings, has lodged a preliminary prospectus for a domestic initial public offering, according to a
06-23 09:10
U.S. Global Investors (GROW) declares $0.0075/share monthly dividend, in line with previous. Forward yield 2.9% Payable July 27; for shareholders of record July 13; ex-div July 13. See GROW Dividend S...
06-19 04:32
U.S. Global Investors announced it will continue paying monthly dividends of $0.0075 per share from July to September 2026, with an annualized yield of 3.1%. The company highlights that falling oil prices below their 50-day moving average have positively impacted airline stocks, with Delta and United seeing significant gains. Frank Holmes, CEO, expressed confidence in the resilience of global air travel and the potential for long-term improvement...
06-18 20:25
香港联交所最新资料显示,6月8日,Kopernik Global Investors LLC增持中国通信服务(00552.HK)94.8万股,每股作价4.0554港元,总金额约为384.45万港元。
06-10 20:40
"Scott Galloway warns one of the big three AI IPOs could lose 80%, putting Tesla, Nvidia and Broadcom in the crossfire as $400B floods markets.
06-09 22:08
U.S. Global Investors announced a restatement of its EPS figures for the three- and nine-month periods ended March 31, 2026, due to a miscalculation in weighted average shares outstanding. The error resulted in overstated EPS and understated share counts, with corrections reducing EPS by $0.02 for the three-month period and $0.01 for the nine-month period. The company emphasized that net income and other financial metrics remain unchanged and hig...
06-01 22:46
Investors are pulling back from emerging markets as political unrest and election uncertainty spark fresh volatility across Latin America, Eastern Europe and parts of Asia. Markets in Colombia, Peru, ...
05-24 22:31
Varde Partners is launching its first Asia fund focused exclusively on private credit, and has plans to raise $1 billion for the fund.
05-22 03:22
U.s. Global Investors (($GROW)) has held its Q3 earnings call. Read on for the ...
05-15 08:18
公司名稱
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美国全球投资者
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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.
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UPDATE 1-Foundation Healthcare seeks up to $187 million in Singapore IPO Updates with details and context from term sheet throughout By Yantoultra Ngui SINGAPORE, June 23 (Reuters) - Foundation Healthcare Holdings, a Singapore-based private healthcare group backed by SeaTown, is seeking to raise S$2
06-23 12:21
Singapore's Foundation Healthcare lodges Singapore IPO prospectus SINGAPORE, June 23 (Reuters) - Foundation Healthcare Holdings, a Singapore-based private healthcare group backed by Temasek's SeaTown Holdings, has lodged a preliminary prospectus for a domestic initial public offering, according to a
06-23 09:10
U.S. Global Investors (GROW) declares $0.0075/share monthly dividend, in line with previous. Forward yield 2.9% Payable July 27; for shareholders of record July 13; ex-div July 13. See GROW Dividend S...
06-19 04:32
U.S. Global Investors announced it will continue paying monthly dividends of $0.0075 per share from July to September 2026, with an annualized yield of 3.1%. The company highlights that falling oil prices below their 50-day moving average have positively impacted airline stocks, with Delta and United seeing significant gains. Frank Holmes, CEO, expressed confidence in the resilience of global air travel and the potential for long-term improvement...
06-18 20:25
香港联交所最新资料显示,6月8日,Kopernik Global Investors LLC增持中国通信服务(00552.HK)94.8万股,每股作价4.0554港元,总金额约为384.45万港元。
06-10 20:40
"Scott Galloway warns one of the big three AI IPOs could lose 80%, putting Tesla, Nvidia and Broadcom in the crossfire as $400B floods markets.
06-09 22:08
U.S. Global Investors announced a restatement of its EPS figures for the three- and nine-month periods ended March 31, 2026, due to a miscalculation in weighted average shares outstanding. The error resulted in overstated EPS and understated share counts, with corrections reducing EPS by $0.02 for the three-month period and $0.01 for the nine-month period. The company emphasized that net income and other financial metrics remain unchanged and hig...
06-01 22:46
Investors are pulling back from emerging markets as political unrest and election uncertainty spark fresh volatility across Latin America, Eastern Europe and parts of Asia. Markets in Colombia, Peru, ...
05-24 22:31
Varde Partners is launching its first Asia fund focused exclusively on private credit, and has plans to raise $1 billion for the fund.
05-22 03:22
U.s. Global Investors (($GROW)) has held its Q3 earnings call. Read on for the ...
05-15 08:18
派息除權日
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每股總股息
| 派息日期 |
2026-09-14
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0.007
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2026-09-28
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2026-08-17
|
0.007
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2026-08-31
|
2026-07-13
|
0.007
|
2026-07-27
|
2026-06-15
|
0.007
|
2026-06-29
|
2026-05-11
|
0.007
|
2026-05-26
|
2026-04-13
|
0.007
|
2026-04-27
|
2026-03-16
|
0.007
|
2026-03-30
|
2026-02-09
|
0.007
|
2026-02-23
|
2026-01-12
|
0.007
|
2026-01-26
|
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
|
