U S Global Investors Inc (Nasdaq: GROW), an SEC filer in Investment Advice, closed at $3.33, -0.6%, on 2026-08-28, with a market cap of $35M as of 2026-08-27, a return on equity of -0.7%, a net margin of -3.9% and 3-year sales growth of -29.8%. Institutional ownership, earnings history and filed financials are on the tabs below.
Cash-flow figures use the latest fiscal year: this filer tags quarterly cash flows year-to-date only and the missing discrete quarters could not be derived (irregular fiscal quarters or a tagging change), so no four consecutive quarters exist to sum.
No four consecutive quarters could be summed for EPS (Diluted); these figures use the latest fiscal year, not a trailing twelve months.
Some figures named '(TTM)' on this payload are the latest FISCAL YEAR, not a trailing twelve months — eps_ttm (fiscal year ended 2025-06-30). No four consecutive quarters could be summed for them — for an IFRS 20-F filer that is every income-statement line (no quarterly income statement is tagged to EDGAR at all); for a US filer it is usually one line the quarterly tagging skips. Each field's own basis is on field_basis.
full derived coverage requires a plan
Output of a disclosed model — assumptions may be wrong. Research, not investment advice. See the Disclaimer.
— Months · distinct values (the real sample size).
Metric
Today
Own median
Own range
%ile
z
Sector med.
mo · distinct
27.06× (2025-08)
12.48×
no band (45 mo · 43 distinct)
—
—
14.57×
45 · 43
−0.7%
6.0%
no band (57 mo · 5 distinct)
—
—
10.1%
57 · 5
−11.2%
15.9%
no band (57 mo · 6 distinct)
—
—
10.5%
57 · 6
−3.9%
12.0%
29th
−0.10σ
19.5%
72 · 6
25.6%
−2.2%
75th
+0.02σ
24.7%
141 · 141
−65.1% (2025-08)
—
no band (12 mo · 1 distinct)
—
—
3.7%
12 · 1
−29.8%
—
no band (34 mo · 3 distinct)
—
—
7.4%
34 · 3
Market Cap
$35.12M
not reconstructed — market cap was removed from the historical pass (never a ranking factor, and a reconstructed share count carries look-ahead risk). The single stored value is the forward-captured snapshot, not a series.
P/E (point-in-time)Financials median, same monthshaded = own p10–p90 · dashed = own median
Multiple-implied price ladder · Full
Filed earnings only.
no P/E ladder — 45 monthly observations — a series is shown but no percentile band is quoted (the disclosed gate is 60 months).
Ladder not drawn for this name — the reason is above.ⓘ
Not a forecast: each row re-prices today's filed earnings at a multiple this company itself once traded at. It abstains rather than guess on a loss year or a broken per-share basis.
Every month uses only what was filed by then, split-adjusted. Delisted names are absent and a trough year can throw one huge reading, so read the median, not the edges.
Percentile through time (point-in-time cohort)
Loading the monthly cohort placement…
▸Comp setname your own peers — pick a pool or add tickers
Covered pool$579.61B +13.5%/yr 2020→2025Concentration679 of 10,000fragmented · top 3 hold 37.1% · −85 pts since 2019GROW0.0% · rank 91 of 96 · +0.0pp over 5y· CV 0.53 · σ 0.0pp
Who holds the poolCY2025 · bars scaled to the largest member
GROW is not drawn here: its newest pool year (CY2024) differs from the industry’s (CY2025), so its 0.0% is a different year’s share.
Growth, restated as sharewhere each pace has to END UP, by 2029
Its own realised pace0.0% → 0.0%
The pace the price requires— The growth today's price requires (our reverse-DCF) is a Pro metric — the realized-pace runway above is free.
GROW share over time6 published years
Calendar year
2019
2020
2021
2022
2023
2024
Share of covered pool
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
year: this company's newest published… · coverage: 95 of the 98 members that…
Share of covered industry revenue · n=96 in Capital Markets · CY2024 pool · built 2026-08-29 not market shareⓘ
Covered filers only, not market share — private and uncovered companies are missing, so every share here reads high. Years are FX-converted and published only once most of the pool has filed.