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Annual · values202520242023202220212020201920182017201620152014
Gross Margin
Operating Margin-35.33%-4.37%23.38%44.97%37.71%-53.69%-60.28%-36.54%-12.91%
EBITDA Margin-36.73%-5.64%21.75%43.27%38.61%-49.17%-55.73%-32.69%-9.17%
Net Margin-3.95%12.14%20.89%22.25%147.60%-104.65%-68.90%10.33%-7.59%
Current Ratio20.8718.6313.749.205.205.259.169.6614.9813.9813.1512.51
Quick Ratio20.8718.6313.749.205.205.259.169.6614.9813.9813.1512.51
Debt / Equity0.000.000.000.000.000.00
ROE-0.74%2.72%6.03%9.73%58.83%-27.94%-15.28%2.48%-2.11%-14.67%-13.83%-2.72%
ROA-0.69%2.57%5.66%9.06%51.32%-24.89%-14.27%2.24%-2.01%-13.95%-13.10%-2.56%
Asset Turnover0.180.210.270.410.350.240.210.220.27
Book Value / Share3.393.463.573.763.611.111.471.721.601.641.892.31

U.S. Global Investors, Inc. is an investment management firm that offers a broad range of financial products and services. The primary role of the company is to manage mutual funds and offer value-added investment strategies focused on a rich array of asset classes. U.S. Global Investors is renowned for its expertise in gold, precious metals, natural resources, emerging markets, and global infrastructure sectors. By leveraging its sector-specific knowledge, the firm attracts investors seeking to diversify their portfolios beyond conventional asset classes. The company is engaged in offering financial advisory services aimed at achieving client-specific investment goals while navigating the dynamic market landscape. Additionally, U.S. Global Investors is recognized for its in-depth research and analytical capabilities, enabling it to make informed investment decisions on behalf of its clients. With its headquarters in San Antonio, Texas, the firm plays a noteworthy role in the investment management industry by focusing on innovative approaches to growth opportunities in thriving economic sectors.