U.S. Global Investors Announces Fiscal Year 2025 Results And Strategic International ETF Listings For Gogold In Mexico And Colombia
12 months ended | ||||||
6/30/2025 | 6/30/2024 | |||||
Operating Revenues | $ | 8,452 | $ | 10,984 | ||
Operating Expenses | 11,438 | 11,464 | ||||
Operating Income (Loss) | (2,986 | ) | (480 | ) | ||
Total Other Income | 2,724 | 2,395 | ||||
Income (Loss) Before Income Taxes | (262 | ) | 1,915 | |||
Income Tax Expense | 72 | 582 | ||||
Net Income (Loss) | $ | (334 | ) | $ | 1,333 | |
Net Income (Loss) Per Share (Basic and Diluted) | $ | (0.03 | ) | $ | 0.09 | |
Avg. Common Shares Outstanding (Basic) | 13,343,506 | 14,182,300 | ||||
Avg. Common Shares Outstanding (Diluted) | 13,344,627 | 14,182,353 | ||||
Avg. Assets Under Management (Billions) | $ | 1.4 | $ | 1.9 | ||
About U.S. Global Investors, Inc.
The story of U.S. Global Investors goes back more than 50 years when it began as an investment club. Today, U.S. Global Investors, Inc. ( ) is a registered investment adviser that focuses on niche markets around the world. Headquartered in San Antonio, Texas, the Company provides investment management and other services to U.S. Global Investors Funds and U.S. Global ETFs.
Forward-Looking Statements and Disclosure
This news release and other statements by U.S. Global Investors may include certain“forward-looking statements,” including statements relating to revenues, expenses and expectations regarding market conditions. You can identify these forward-looking statements by the use of words such as“outlook,”“believes,”“expects,”“potential,”“opportunity,”“seeks,”“anticipates” or other comparable words. Such statements involve certain risks and uncertainties and should be read with corporate filings and other important information on the Company's website, , or the Securities and Exchange Commission's website at
These filings, such as the Company's annual report and Form 10-Q, should be read in conjunction with the other cautionary statements that are included in this release. Future events could differ materially from those anticipated in such statements and there can be no assurance that such statements will prove accurate and actual results may vary. The Company undertakes no obligation to publicly update or review any forward-looking statements, whether as a result of new information, future developments or otherwise.
Please consider carefully a fund's investment objectives, risks, charges and expenses. For this and other important information, obtain a statutory and summary prospectus for JETS here , GOAU here and for SEA here . Read it carefully before investing.
Investing involves risk, including the possible loss of principal. Shares of any ETF are bought and sold at market price (not NAV), may trade at a discount or premium to NAV and are not individually redeemed from the funds. Brokerage commissions will reduce returns. Because the funds concentrate their investments in specific industries, the funds may be subject to greater risks and fluctuations than a portfolio representing a broader range of industries. The funds are non-diversified, meaning they may concentrate more of their assets in a smaller number of issuers than diversified funds.
The funds invest in foreign securities which involve greater volatility and political, economic and currency risks and differences in accounting methods. These risks are greater for investments in emerging markets. The funds may invest in the securities of smaller-capitalization companies, which may be more volatile than funds that invest in larger, more established companies.
The performance of the funds may diverge from that of the index. Because the funds may employ a representative sampling strategy and may also invest in securities that are not included in the index, the funds may experience tracking error to a greater extent than funds that seek to replicate an index. The funds are not actively managed and may be affected by a general decline in market segments related to the index.
Airline Companies may be adversely affected by a downturn in economic conditions that can result in decreased demand for air travel and may also be significantly affected by changes in fuel prices, labor relations and insurance costs. Gold, precious metals, and precious minerals funds may be susceptible to adverse economic, political or regulatory developments due to concentrating in a single theme. The prices of gold, precious metals, and precious minerals are subject to substantial price fluctuations over short periods of time and may be affected by unpredicted international monetary and political policies. We suggest investing no more than 5% to 10% of your portfolio in these sectors.
Foreign and emerging market investing involves special risks such as currency fluctuation and less public disclosure, as well as economic and political risk. By investing in a specific geographic region, such as China and/or Taiwan, a regional ETFs returns and share price may be more volatile than those of a less concentrated portfolio.
Distributed by Quasar Distributors, LLC. U.S. Global Investors is the investment adviser to JETS, GOAU, WAR and SEA.
________________
1 Registration does not imply a certain level of skill or training.
2 The Company calculates shareholder yield by adding the percentage of change in shares outstanding, the dividend yield and debt reduction, if any, for the 12 months ending June 30, 2025.
3 Liang, Xiao; Nan Tian; Diego Lopes da Silva; Lorenzo Scarazzato; Zubaida Karim; and Jade Guiberteau Ricard. Trends in World Military Expenditure, 2024. Stockholm International Peace Research Institute, April 2025.
4 NATO. Defence Expenditures and NATO's 5% Commitment. North Atlantic Treaty Organization, 27 June 2025.
5 Review of Maritime Transport 2024. UN Trade and Development, Oct. 22, 2024. .
Contact:
Holly Schoenfeldt
Director of Marketing
A photo accompanying this announcement is available at

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