Dividends of US Global Investors (id:5851 GROW)


Comperitors' Dividend Yield

Company Market Cap USD Dividend yield Payout ratio CAGR 3 years CAGR 5 years
Blackstone Group Inc-The 219.12B 1.73 % 116.49 % 20.24 % 6.53 %
BlackRock 155.10B 1.97 % 50.15 % 1.09 % 4.53 %
KKR &Inc 140.43B 0.441 % 21.05 % 34.86 % 15.41 %
Apollo Global Management 94.81B 1.10 % 18.85 % -10.43 % -2.97 %
Brookfield Corporation 86.37B 0.549 % 52.63 % -27.01 % -18.94 %
Ameriprise Financial 55.32B 1.03 % 21.64 % 9.02 % 8.47 %
Ares Management 52.41B 2.12 % 162.56 % 24.40 % 23.94 %
3i Group plc 40.38B 3.87 % 17.13 % 8.74 %
Partners Group Holding AG 36.16B 12.70 % 105.83 % 0.000 % 0.000 %
Blue Owl Capital 34.21B 2.93 % 355.56 % 0.000 % 0.000 %

Boxes

Dividend Yield

1.23 %

Payout Ratio

75.00 %

Compound average growth rate 3 years

44.22 %

Dividend Increase Track Record

0 Years

Latest Dividend

December 30th, 2024

Ex-Dividend Date

December 16th, 2024

Payout frequency

12 yearly payouts


Dividend Yield vs Market (countryid: 6, industryId: 2, sectorId: 1 )


Payout Ratio vs Market

Dividend Yield Range


Yield on cost


Dividend payout history


Dividend yield history

Dividend history

Year Amount Type Date
2024 0.008 Regular 12-16-2024
0.008 Regular 11-08-2024
0.008 Regular 10-11-2024
0.008 Regular 09-16-2024
0.008 Regular 08-12-2024
0.008 Regular 07-15-2024
0.008 Regular 06-10-2024
0.008 Regular 05-03-2024
0.008 Regular 04-05-2024
0.008 Regular 03-08-2024
0.008 Regular 02-09-2024
0.008 Regular 01-05-2024
2023 0.008 Regular 12-08-2023
0.008 Regular 11-10-2023
0.008 Regular 10-05-2023
0.008 Regular 09-08-2023
0.008 Regular 08-11-2023
0.008 Regular 07-07-2023
0.008 Regular 06-09-2023
0.008 Regular 05-05-2023
0.008 Regular 04-06-2023
0.008 Regular 03-10-2023
0.008 Regular 02-10-2023
0.008 Regular 01-06-2023
2022 0.008 Regular 12-09-2022
0.008 Regular 11-10-2022
0.008 Regular 10-14-2022
0.008 Regular 09-09-2022
0.008 Regular 08-05-2022
0.008 Regular 07-08-2022
0.008 Regular 06-10-2022
0.008 Regular 05-06-2022
0.008 Regular 04-08-2022
0.008 Regular 03-11-2022
0.008 Regular 02-11-2022
0.008 Regular 01-07-2022
2021 0.008 Regular 12-10-2021
0.008 Regular 11-12-2021
0.008 Regular 10-07-2021
0.005 Regular 09-10-2021
0.005 Regular 08-13-2021
0.005 Regular 07-09-2021
0.005 Regular 06-11-2021
0.005 Regular 05-07-2021
0.005 Regular 04-09-2021
0.005 Regular 03-12-2021
0.002 Special 02-12-2021
0.002 Regular 02-05-2021
0.002 Regular 01-08-2021
2020 0.002 Regular 12-11-2020
0.002 Regular 11-13-2020
0.002 Regular 10-08-2020
0.002 Regular 09-11-2020
0.002 Regular 08-14-2020
0.002 Regular 07-10-2020
0.002 Regular 06-12-2020
0.002 Regular 05-08-2020
0.002 Regular 04-09-2020
0.002 Regular 03-13-2020
0.002 Regular 02-07-2020
0.002 Regular 01-10-2020
2019 0.002 Regular 12-06-2019
0.002 Regular 11-07-2019
0.002 Regular 10-10-2019
0.002 Regular 09-13-2019
0.002 Regular 08-09-2019
0.002 Regular 07-12-2019
0.002 Regular 06-07-2019
0.002 Regular 05-10-2019
0.002 Regular 04-12-2019
0.002 Regular 03-08-2019
0.002 Regular 02-08-2019
0.002 Regular 01-11-2019
2018 0.002 Regular 12-14-2018
0.002 Regular 11-08-2018
0.002 Regular 10-12-2018
0.002 Regular 09-07-2018
0.002 Regular 08-10-2018
0.002 Regular 07-13-2018
0.002 Regular 06-08-2018
0.002 Regular 05-14-2018
0.002 Regular 04-13-2018
0.002 Regular 03-09-2018
0.002 Regular 02-09-2018
0.002 Regular 01-12-2018
2017 0.002 Regular 12-11-2017
0.002 Regular 11-10-2017
0.002 Regular 10-13-2017
0.002 Regular 09-08-2017
0.002 Regular 08-10-2017
0.002 Regular 07-13-2017
0.002 Regular 06-08-2017
0.002 Regular 05-11-2017
0.002 Regular 04-06-2017
0.002 Regular 03-09-2017
0.002 Regular 02-09-2017
0.002 Regular 01-12-2017
2016 0.002 Regular 12-08-2016
0.002 Regular 11-09-2016
0.002 Regular 10-05-2016
0.002 Regular 09-08-2016
0.002 Regular 08-11-2016
0.002 Regular 07-07-2016
0.002 Regular 06-09-2016
0.002 Regular 05-12-2016
0.002 Regular 04-07-2016
0.002 Regular 03-10-2016
0.002 Regular 02-10-2016
0.002 Regular 01-07-2016
2015 0.002 Regular 12-10-2015
0.002 Regular 11-05-2015
0.002 Regular 10-08-2015
0.005 Regular 09-10-2015
0.005 Regular 08-06-2015
0.005 Regular 07-09-2015
0.005 Regular 06-11-2015
0.005 Regular 05-07-2015
0.005 Regular 04-09-2015
0.005 Regular 03-05-2015
0.005 Regular 02-05-2015
0.005 Regular 01-08-2015
2014 0.005 Regular 12-11-2014
0.005 Regular 11-06-2014
0.005 Regular 10-08-2014
0.005 Regular 09-11-2014
0.005 Regular 08-07-2014
0.005 Regular 07-10-2014
0.005 Regular 06-05-2014
0.005 Regular 05-08-2014
0.005 Regular 04-10-2014
0.005 Regular 03-06-2014
0.005 Regular 02-06-2014
0.005 Regular 01-09-2014
2013 0.005 Regular 12-05-2013
0.005 Regular 11-06-2013
0.005 Regular 10-03-2013
0.005 Regular 09-05-2013
0.005 Regular 08-08-2013
0.005 Regular 07-11-2013

DividendIncreaseOrDecrease


Dividend table

Chowder Number25.81 % (Good, because Chowder number is larger than 15%)
Compound Average Growth Rate for last 3 years cal44.22 %
Compound Average Growth Rate for last 3 years44.22 %
Compound Average Growth Rate for last 5 years24.57 %
Compound Average Growth Rate for last 10 years11.61 %
Dividend growth0 years
Dividend growth average for all Asset Management stocks1.10 years (356 stocks)
Dividend growth average for United States Asset Management stocks1.58 years (106 stocks)
forward_annual_dividend_rate0.030 USD
forward_annual_dividend_yield1.23 %
forward_annual_dividend_yield average for all Asset Management stocks82.58 % (356 stocks)
forward_annual_dividend_yield average for United States Asset Management stocks64.16 % (106 stocks)
trailing_annual_dividend_rate0.090 USD
trailing_annual_dividend_yield3.75 %
trailing_annual_dividend_yield average for all Asset Management stocks0.028 % (356 stocks)
trailing_annual_dividend_yield average for United States Asset Management stocks0.052 % (106 stocks)
5_year_average_dividend_yield2.15 %
5_year_average_dividend_yield average for all Asset Management stocks6.49 % (356 stocks)
5_year_average_dividend_yield average for United States Asset Management stocks8.00 % (106 stocks)
payout_ratio75.00 %
payout_ratio average for all Asset Management stocks126.87 % (356 stocks)
payout_ratio average for United States Asset Management stocks155.15 % (106 stocks)
dividend_date12-30-2024
ex_dividend_date12-16-2024

Self funded chart

Years before free

Years before free0
Year free2024

Self funded table

Year numberYearSum
120250.090
220260.202
320270.342
420280.516
520290.733
620301.00
720311.34
820321.76
920332.28
1020342.93

DividentYearsScore: 0

Dividened Top table

Sofina Société Anonyme19
Brooks Macdonald Group PLC18
Ameriprise Financial Inc18
International Public Partnerships Ltd16
Principal Financial Group Inc15
Legal & General Group PLC14
Henderson Far East Income Ltd14
State Street Corp13
Clairvest Group Inc13
Guardian Capital Group Ltd13
SEI Investments Co10
Gladstone Investment Corp8
T Rowe Price Group Inc7
Silvercrest Asset Management Group Inc6
Hamilton Lane Inc6
Tatton Asset Management PLC6
Canadian General Investments Ltd6
VZ Holding AG6
Ares Management Corp5
JTC PLC5
3i Infrastructure PLC5
AVG10.6190476190476

Dividened Bottom table

MPC Muenchmeyer Petersen Capital AG1
Schroders PLC1
Bridgepoint Group plc1
Petershill Partners PLC1
Hicl Infrastructure PLC1
IP Group PLC1
Gore Street Energy Storage Fund PLC-The Fund1
VH Global Sustainable Energy Opportunities plc1
Blackstone-GSO Loan Financing Ltd1
CQS New City High Yield Fund Ltd1
CVC Income & Growth Limited1
JPMorgan Global Core Real Assets Ltd1
The Income & Growth VCT plc1
Maven Income and Growth VCT 4 PLC1
Maven Income & Growth VCT 31
ProVen VCT plc1
Mobius Investment Trust PLC1
MidCap Financial Investment Co1
Capital Southwest Corp1
WhiteHorse Finance Inc1
Oxford Square Capital Corp1
AVG1

Monthly Dividends

The table displays the monthly dividend distributions for US Global Investors Inc. The dividends shown in the table have been adjusted to account for any splits that may have occurred.

January February March April May June July August September October November December Total
2014
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.06 USD
2015
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.05 USD
2016
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.03 USD
2017
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.03 USD
2018
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.03 USD
2019
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.03 USD
2020
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.03 USD
2021
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.00 USD
0.01 USD
0.01 USD
0.01 USD
0.06 USD
2022
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.09 USD
2023
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.01 USD
0.09 USD

FAQ

Yes, US Global Investors Inc pays a dividend. The dividend was last paid on the December 30th, 2024.

The last dividend paid by US Global Investors Inc was USD 0.090 per share on December 30th, 2024.

The last dividend paid by US Global Investors Inc was 0.002 USD per share on February 12th, 2021.

US Global Investors Inc next scheduled ex-dividend date is December 16th, 2024.

US Global Investors Inc has been paying dividends for the past 2 years.

Yes, US Global Investors Inc has a history of special dividend payouts, with the last special dividend issued on February 12th, 2021.

The payout ratio of US Global Investors Inc is 75.00%, meaning that 75.00% of the profits are paid out as dividends.

US Global Investors Inc dividend payout ratio of 75.00% is below the industry average of 126.87%.

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