The U.S. Global Sea to Sky Cargo ETF seeks to track the performance, before fees and expenses, of the U.S. Global Sea to Sky Cargo Index.
Fund Details
Data as of 03/24/2025Net Assets
$6,067,678Expense Ratio
Gross: 3.99%
Net: 0.60%*
Inception Date
01/19/2022Ticker
SEAPrimary Exchange
NYSEIndex
U.S. Global Sea to Sky Cargo Index (SEAX)CUSIP
26922B865ISIN
US26922B8651Shares Outstanding
475,000*Pursuant to a contractual operating expense limitation between U.S. Global Investors, Inc., the Fund’s investment adviser (the “Adviser”), and the Fund, the Adviser has agreed to waive its management fees and/or reimburse Fund expenses to ensure that Total Annual Fund Operating Expenses do not exceed 0.60% for the first $100 million of the Fund’s average daily net assets and 0.70% for net assets greater than $100 million, through at least April 30, 2025, unless terminated sooner by, or with the consent of, the Trust’s Board of Trustees.
Fund Characteristics
Data as of 02/28/2025Return on Equity
21.39Price-to-earnings
5.15Price-to-book value
1.01Weighted Average Market Cap
$15.66 BillionReturn on equity: a measure of profitability that calculates how many dollars of profit a company generates with each dollar of shareholders’ equity.
Price-to-book value: a ratio used to compare a stock’s market value to its book value. It is calculated by dividing the current closing price of the stock by the latest quarter's book value per share.
Price-to-earnings: the ratio for valuing a company that measures its current share price relative to its per-share earnings.
Weighted Average Market Cap: a stock market index weighted by the market capitalization of each stock in the index.
Holdings
Data as of 03/24/2025% Net Assets | Name | CUSIP | Country | Ticker | Shares Held | Market ($) |
---|---|---|---|---|---|---|
% Net Assets
5.39%
|
Name
Hoegh Autoliners ASA
|
CUSIP
BMFDP24
|
Country
|
Ticker
HAUTO NO
|
Shares Held
41,906.00
|
Market ($)
327,292.52
|
% Net Assets
5.04%
|
Name
Yang Ming Marine Transport Corp
|
CUSIP
6987583
|
Country
![]() |
Ticker
2609 TT
|
Shares Held
131,013.00
|
Market ($)
306,027.34
|
% Net Assets
4.93%
|
Name
Evergreen Marine Corp Taiwan Ltd
|
CUSIP
6324500
|
Country
![]() |
Ticker
2603 TT
|
Shares Held
43,377.00
|
Market ($)
299,242.24
|
% Net Assets
4.77%
|
Name
HMM Co Ltd
|
CUSIP
6405869
|
Country
![]() |
Ticker
011200 KS
|
Shares Held
20,874.00
|
Market ($)
289,452.42
|
% Net Assets
4.58%
|
Name
AP Moller - Maersk A/S
|
CUSIP
4253048
|
Country
![]() |
Ticker
MAERSKB DC
|
Shares Held
160.00
|
Market ($)
278,001.00
|
% Net Assets
4.19%
|
Name
TORM PLC
|
CUSIP
G89479102
|
Country
|
Ticker
TRMD
|
Shares Held
13,799.00
|
Market ($)
254,177.58
|
% Net Assets
4.18%
|
Name
Hafnia Ltd
|
CUSIP
BSY3S84
|
Country
|
Ticker
HAFNI NO
|
Shares Held
57,583.00
|
Market ($)
253,405.85
|
% Net Assets
4.15%
|
Name
COSCO SHIPPING Holdings Co Ltd
|
CUSIP
B0B8Z18
|
Country
![]() |
Ticker
1919 HK
|
Shares Held
155,511.00
|
Market ($)
251,643.69
|
% Net Assets
4.14%
|
Name
Scorpio Tankers Inc
|
CUSIP
Y7542C130
|
Country
|
Ticker
STNG
|
Shares Held
6,283.00
|
Market ($)
251,194.34
|
% Net Assets
4.06%
|
Name
ORIENT OVERSEAS INTL
|
CUSIP
6659116
|
Country
![]() |
Ticker
316 HK
|
Shares Held
16,296.00
|
Market ($)
246,508.91
|
% Net Assets
3.96%
|
Name
SITC International Holdings Co Ltd
|
CUSIP
B61X7R5
|
Country
![]() |
Ticker
1308 HK
|
Shares Held
93,794.00
|
Market ($)
240,330.39
|
% Net Assets
3.85%
|
Name
Wan Hai Lines Ltd
|
CUSIP
6932334
|
Country
![]() |
Ticker
2615 TT
|
Shares Held
91,319.00
|
Market ($)
233,754.54
|
% Net Assets
3.76%
|
Name
ZIM Integrated Shipping Services Ltd
|
CUSIP
M9T951109
|
Country
![]() |
Ticker
ZIM
|
Shares Held
14,622.00
|
Market ($)
228,395.64
|
% Net Assets
3.01%
|
Name
ZTO Express Cayman Inc
|
CUSIP
98980A105
|
Country
![]() |
Ticker
ZTO
|
Shares Held
9,139.00
|
Market ($)
182,597.22
|
% Net Assets
2.98%
|
Name
Logista Integral SA
|
CUSIP
BP3QYZ2
|
Country
|
Ticker
LOG SM
|
Shares Held
5,890.00
|
Market ($)
180,819.66
|
% Net Assets
2.96%
|
Name
Expeditors International of Washington Inc
|
CUSIP
302130109
|
Country
![]() |
Ticker
EXPD
|
Shares Held
1,523.00
|
Market ($)
179,516.01
|
% Net Assets
2.96%
|
Name
Brambles Ltd
|
CUSIP
B1FJ0C0
|
Country
|
Ticker
BXB AU
|
Shares Held
14,029.00
|
Market ($)
179,299.55
|
% Net Assets
2.94%
|
Name
NIPPON EXPRESS HOLDINGS INC
|
CUSIP
BKSHP63
|
Country
![]() |
Ticker
9147 JP
|
Shares Held
9,640.00
|
Market ($)
178,504.30
|
% Net Assets
2.94%
|
Name
FedEx Corp
|
CUSIP
31428X106
|
Country
![]() |
Ticker
FDX
|
Shares Held
736.00
|
Market ($)
178,347.52
|
% Net Assets
2.94%
|
Name
United Parcel Service Inc
|
CUSIP
911312106
|
Country
![]() |
Ticker
UPS
|
Shares Held
1,539.00
|
Market ($)
178,216.20
|
% Net Assets
2.90%
|
Name
DSV A/S
|
CUSIP
B1WT5G2
|
Country
|
Ticker
DSV DC
|
Shares Held
872.00
|
Market ($)
176,131.01
|
% Net Assets
2.89%
|
Name
DHL Group
|
CUSIP
4617859
|
Country
|
Ticker
DHL GR
|
Shares Held
3,949.00
|
Market ($)
175,150.89
|
% Net Assets
2.83%
|
Name
J&T Global Express Ltd
|
CUSIP
BRBTW19
|
Country
|
Ticker
1519 HK
|
Shares Held
236,467.00
|
Market ($)
171,551.27
|
% Net Assets
2.11%
|
Name
COSCO SHIPPING Energy Transportation Co Ltd
|
CUSIP
6782045
|
Country
|
Ticker
1138 HK
|
Shares Held
146,816.00
|
Market ($)
128,040.50
|
% Net Assets
2.03%
|
Name
International Seaways Inc
|
CUSIP
Y41053102
|
Country
|
Ticker
INSW
|
Shares Held
3,585.00
|
Market ($)
123,073.05
|
% Net Assets
1.99%
|
Name
Matson Inc
|
CUSIP
57686G105
|
Country
![]() |
Ticker
MATX
|
Shares Held
913.00
|
Market ($)
120,808.16
|
% Net Assets
1.98%
|
Name
Kuehne + Nagel International AG
|
CUSIP
B142S60
|
Country
![]() |
Ticker
KNIN SW
|
Shares Held
500.00
|
Market ($)
120,414.40
|
% Net Assets
1.95%
|
Name
MPC Container Ships ASA
|
CUSIP
BF20GN7
|
Country
|
Ticker
MPCC NO
|
Shares Held
76,008.00
|
Market ($)
118,040.00
|
% Net Assets
1.89%
|
Name
Nippon Yusen KK
|
CUSIP
6643960
|
Country
![]() |
Ticker
9101 JP
|
Shares Held
3,283.00
|
Market ($)
114,761.71
|
% Net Assets
0.89%
|
Name
Cash & Other
|
CUSIP
Cash&Other
|
Country
|
Ticker
Cash&Other
|
Shares Held
53,921.30
|
Market ($)
53,921.30
|
% Net Assets
0.81%
|
Name
First American Government Obligations Fund 12/01/2031
|
CUSIP
31846V336
|
Country
|
Ticker
FGXXX
|
Shares Held
48,990.42
|
Market ($)
48,990.42
|
Fund Prices
Data as of 03/24/2025Market Price
PREMIUM/DISCOUNT
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted.
30 Day Median Bid Ask is a calculation of Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the Fund’s national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.
PERFORMANCE HISTORY
Since inception: 01/19/2022
Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized Return is the average return gained or lost by an investment each year over a given time period. Performance is annualized for periods greater than 1 year.
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted.
A fund’s NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding. The closing price or market price is the most recent price at which the fund was traded.