Rand Capital (RAND) Reaches $2.58 52-Week Low; U S Global Investors Has 0.69 Sentiment

February 13, 2018 - By Adrian Mccoy

U.S. Global Investors, Inc. is a publicly owned investment manager. The company has market cap of $51.57 million. The firm primarily provides its services to investment companies. It has a 113.33 P/E ratio. It also provides its services to pooled investment vehicles.

The stock of Rand Capital Corporation (NASDAQ:RAND) hit a new 52-week low and has $2.43 target or 6.00% below today’s $2.58 share price. The 9 months bearish chart indicates high risk for the $16.31 million company. The 1-year low was reported on Feb, 13 by Barchart.com. If the $2.43 price target is reached, the company will be worth $978,660 less. The stock decreased 0.77% or $0.02 during the last trading session, reaching $2.58. About 7,123 shares traded. Rand Capital Corporation (NASDAQ:RAND) has declined 26.23% since February 13, 2017 and is downtrending. It has underperformed by 42.93% the S&P500.

Investors sentiment increased to 5 in 2017 Q3. Its up 2.00, from 3 in 2017Q2. It improved, as 1 investors sold Rand Capital Corporation shares while 0 reduced holdings. 3 funds opened positions while 2 raised stakes. 1.72 million shares or 225.01% more from 530,429 shares in 2017Q2 were reported. Associated Banc holds 300,000 shares or 0.05% of its portfolio. Shufro Rose & Ltd Liability Corporation has invested 0.05% of its portfolio in Rand Capital Corporation (NASDAQ:RAND). Atlantic Trust Ltd Liability Corporation accumulated 227,691 shares or 0% of the stock. Brown Advisory Incorporated reported 30,000 shares. Raffles Associate L P holds 85,000 shares or 0.23% of its portfolio.

Rand Capital Corporation is a business development firm specializing in venture capital and private equity investments. The company has market cap of $16.31 million. The firm prefers to make investments through equity or debt instruments in early venture, expansion stage, and in small to medium-sized privately held companies. It currently has negative earnings. It generally lends to more mature companies.

Since January 17, 2018, it had 2 insider buys, and 0 sales for $76,258 activity. Another trade for 7,730 shares valued at $21,258 was made by NEWMAN REGINALD B II on Friday, January 19.

Financial & Investment Management Group Ltd holds 1.56% of its portfolio in U.S. Global Investors, Inc. for 2.22 million shares. Koshinski Asset Management Inc. owns 372,230 shares or 0.26% of their US portfolio. Moreover, Arbiter Partners Capital Management Llc has 0.01% invested in the company for 56,815 shares. The New Jersey-based Highlander Capital Management Llc has invested 0.01% in the stock. Bank Of New York Mellon Corp, a New York-based fund reported 22,955 shares.

The stock increased 1.19% or $0.04 during the last trading session, reaching $3.4. About 50,495 shares traded. U.S. Global Investors, Inc. (GROW) has declined 19.21% since February 13, 2017 and is downtrending. It has underperformed by 35.91% the S&P500.

- Enter your email address below to receive a concise daily summary of the latest news and analysts' ratings with our FREE daily email newsletter.

By

Free Email Newsletter

Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter:


>