Winmill & Co. Incorporated — Cyborg Score 4/10

Mixed
Mutual Fund Asset Management

Strategic Profile

The firm applies a Performance Driven® management philosophy, seeking long-term value for stockholders through active investment management of mutual funds (Midas Funds) and closed-end funds (Foxby Corp), aiming to increase book value per share across market cycles by employing both growth and value strategies. As of March 31, 2026, Winmill & Company's market cap is $7.59M with 1.42M shares outstanding.

Cyborg Score Rationale

With a market cap of only $7.59M as of March 2026, Winmill operates as a micro-cap holding company with minimal scale. The firm maintains a specialized but narrow investment mandate focused on two mutual funds and one closed-end fund. Limited analyst coverage and OTC trading reflect its small-cap positioning.

Top Insights

  • Established in 1974, providing over 50 years of investment management history
  • Company transitioned from its legacy as Bull & Bear Group until 1999, rebranding to Winmill & Co.
  • Winmill operates with a lean team of approximately 10 employees, focused on specialized financial services
  • As of March 31, 2026, the company has a trailing twelve-month revenue of $2.32M, reflecting micro-cap operating scale

Named Competitors

  • Vanguard Funds — Global asset management and mutual fund provider
  • Fidelity Funds — Diversified financial services and mutual fund manager
  • Schwab Funds — Brokerage and asset management services

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