US GLOBAL INVESTORS FUNDS
497, 1998-08-19
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[FRONT OF POSTCARD]

WORLD GOLD FUND                                             [Graphic: USGI Logo]
                                                    a U.S. Global Investors Fund
         
GOLD EQUITY
         
About the Portfolio Manager

- --------------------------------------------------------------------------------
The  portfolio  management  team is  comprised of  Ralph Aldis,  C.F.A. (Charted
Financial Analyst), Michael Chapman and Matthew Ford.  

Mr. Aldis,  holds an M.A. in Energy  and Mineral  Resources from  the University
of Texas  at Austin and a  B.S. with honors  in Geology from  Stephen F.  Austin
State University. He has been a fund manager with the company since 1992.

Mr.Chapman holds an M.A. in Energy and Mineral Resources and a B.S. in Petroleum
Engineering from the University of Texas at Austin. 

Mr. Ford  holds  an  M.S.  in  Mineral  Resources  Engineering  management  from
Nottingham University  and a  B.S. in  Exploration and  Minning Geology from the
University of Wales.


Investment Profile
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The World Gold Fund invests in gold mining stocks globally,  though its holdings
are focused in the United States, Canada and Australia. The Fund seeks companies
with the greatest  potential for creating wealth for stockholders by discovering
new deposits, developing promising properties, and/or profitability mining gold.
The Fund's goal is capital  appreciation  and protection  against  inflation and
monetary instability.

         
REGIONAL BREAKDOWN %
- --------------------------------------------------------------------------------
North America                           56.58%

West Africa                             13.55%

Pacific Rim                              3.95%

Africa                                   3.83%

South America                            2.91%

Central America                          2.27%

East Africa                              1.43%


FUND PROFILE

For Portfolio 
Management 
Commentary
call our portfolio 
direct hotline at
1-800-873-8637
option 6

<PAGE>
[BACK OF POSTCARD]

EQUITY PORTFOLIO HIGHLIGHTS                 (QUARTER ENDED JUNE 30, 1998)
                                                   [Graphic:  Save with a FREE 
                                                              Lifetime IRA icon]

TOTAL RETURNS
- --------------------------------------------------------------------------------
Year To Date                                -11.57%

1 Year (annualized)                         -37.44%

5 Year (annualized)                          -6.21%

10 Year (annualized)                         -2.68%

Total Assets:                              $146.932 million

Expense Ratio: as of Dec. 31, 1997            1.78%

CUSIP:                                       911476802

Ticker Symbol:                               UNWPX

Inception Date:                              11/27/85

         
Top Ten Holdings
- --------------------------------------------------------------------------------
Pioneer Group                                9.15%

Reserve Barrick Gold                         7.11%

Delta Gold                                   6.81%

Franco Nevada                                6.21%

Euro Nevada                                  5.70%

Ashanti Gold                                 3.98%

Ranger Minerals                              3.30%

Meridian Gold                                3.17%

Getchell Gold                                3.00%

Newmont Mining                               2.89%


Must  be  accompanied  or  preceded  by a  prospectus.  Past  performance  is no
guarantee  of future  results.  Please  read  the  prospectus  carefully  before
investing.  Investment returns and principal value will vary, and you may have a
gain or  loss when  you sell  shares.  Call 1-800-US-FUNDS to receive additional
information. The Fund's portfolio will change.  There can be no  guarantee  that
the Fund will  continue  to hold these securities in the future.



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