<?xml version="1.0" encoding="UTF-8"?><edgarSubmission xmlns="http://www.sec.gov/edgar/schedule13g" xmlns:com="http://www.sec.gov/edgar/common">
  <headerData>
    <submissionType>SCHEDULE 13G/A</submissionType>
    <previousAccessionNumber>0001835328-20-000001</previousAccessionNumber>
    <filerInfo>
      <filer>
        <filerCredentials>
          <cik>0001835328</cik>
          <ccc>XXXXXXXX</ccc>
        </filerCredentials>
      </filer>
      <liveTestFlag>LIVE</liveTestFlag>



    </filerInfo>
  </headerData>
  <formData>
    <coverPageHeader>
      <amendmentNo>8</amendmentNo>
      <securitiesClassTitle>Common Stock</securitiesClassTitle>
      <eventDateRequiresFilingThisStatement>06/30/2025</eventDateRequiresFilingThisStatement>
      <issuerInfo>
        <issuerCik>0000027093</issuerCik>
        <issuerName>U.S. GOLD CORP.</issuerName>
        <issuerCusip>90291C201</issuerCusip>
        <issuerPrincipalExecutiveOfficeAddress>
          <com:street1>SUITE 102 - BOX 604</com:street1>
          <com:street2>SUITE 102 - BOX 604</com:street2>
          <com:city>ELKO</com:city>
          <com:stateOrCountry>NV</com:stateOrCountry>
          <com:zipCode>89801</com:zipCode>
        </issuerPrincipalExecutiveOfficeAddress>
      </issuerInfo>
      <designateRulesPursuantThisScheduleFiled>
        <designateRulePursuantThisScheduleFiled>Rule 13d-1(b)</designateRulePursuantThisScheduleFiled>
      </designateRulesPursuantThisScheduleFiled>
    </coverPageHeader>
    <coverPageHeaderReportingPersonDetails>

      <reportingPersonName>AIMS Asset Management Sdn Bhd</reportingPersonName>
      <citizenshipOrOrganization>N8</citizenshipOrOrganization>
      <reportingPersonBeneficiallyOwnedNumberOfShares>
        <soleVotingPower>891807.00</soleVotingPower>
        <sharedVotingPower>0.00</sharedVotingPower>
        <soleDispositivePower>891807.00</soleDispositivePower>
        <sharedDispositivePower>0.00</sharedDispositivePower>
      </reportingPersonBeneficiallyOwnedNumberOfShares>
      <reportingPersonBeneficiallyOwnedAggregateNumberOfShares>891807.00</reportingPersonBeneficiallyOwnedAggregateNumberOfShares>
      <classPercent>6.4</classPercent>
      <typeOfReportingPerson>FI</typeOfReportingPerson>
      <comments>(1) This Schedule if filed jointly by AIMS Asset Management Sdn. Bhd. ("AIMS") and Seraya Investment Pte. Ltd. ("Seraya") on behalf of their fund under management, Phoenix Gold Fund Ltd ("Phoenix"). The securities reported herein are beneficially owned by Phoenix.
(2) Phoenix is a discretionary professional investment fund managed by AIMS and co-managed by Seraya.
(3) The securities reported is inclusive of 333,362 common shares beneficially owned through the ownership of warrants. All 333,262 warrants are exercisable within 60 days. The percentage is calculated based on 13,956,030 shares outstanding as per the company's latest announcement.</comments>
    </coverPageHeaderReportingPersonDetails>
    <coverPageHeaderReportingPersonDetails>

      <reportingPersonName>Seraya Investment Pte. Ltd.</reportingPersonName>
      <citizenshipOrOrganization>U0</citizenshipOrOrganization>
      <reportingPersonBeneficiallyOwnedNumberOfShares>
        <soleVotingPower>891807.00</soleVotingPower>
        <sharedVotingPower>0.00</sharedVotingPower>
        <soleDispositivePower>891807.00</soleDispositivePower>
        <sharedDispositivePower>0.00</sharedDispositivePower>
      </reportingPersonBeneficiallyOwnedNumberOfShares>
      <reportingPersonBeneficiallyOwnedAggregateNumberOfShares>891807.00</reportingPersonBeneficiallyOwnedAggregateNumberOfShares>
      <classPercent>6.4</classPercent>
      <typeOfReportingPerson>FI</typeOfReportingPerson>
      <comments>(1) This Schedule if filed jointly by AIMS Asset Management Sdn. Bhd. ("AIMS") and Seraya Investment Pte. Ltd. ("Seraya") on behalf of their fund under management, Phoenix Gold Fund Ltd ("Phoenix"). The securities reported herein are beneficially owned by Phoenix.
(2) Phoenix is a discretionary professional investment fund managed by AIMS and co-managed by Seraya.
(3) The securities reported is inclusive of 333,362 common shares beneficially owned through the ownership of warrants. All 333,262 warrants are exercisable within 60 days. The percentage is calculated based on 13,956,030 shares outstanding as per the company's latest announcement.</comments>
    </coverPageHeaderReportingPersonDetails>
    <items>
      <item1>
        <issuerName>U.S. GOLD CORP.</issuerName>
        <issuerPrincipalExecutiveOfficeAddress>SUITE 102 - BOX 604, SUITE 102 - BOX 604, ELKO, NEVADA, 89801</issuerPrincipalExecutiveOfficeAddress>
      </item1>
      <item2>
        <filingPersonName>(1) AIMS Asset Management Sdn. Bhd.
(2) Seraya Investment Pte. Ltd.</filingPersonName>
        <principalBusinessOfficeOrResidenceAddress>(1) Suite 10.3, West Wing, Rohas Tecnic, No. 9 Jalan P. Ramlee, 50250 Kuala Lumpur, Malaysia
(2) 7 Purvis Street, #03-01 188586, Singapore</principalBusinessOfficeOrResidenceAddress>
        <citizenship>(1) AIMS Asset Management Sdn. Bhd. is a private limited company formed under the laws of Malaysia.
(2) Seraya Investment Pte. Ltd. is a private limited company formed under the laws of Singapore.</citizenship>
      </item2>
      <item3>
        <notApplicableFlag>N</notApplicableFlag>
        <typeOfPersonFiling>FI</typeOfPersonFiling>
        <otherTypeOfPersonFiling>(1) Fund Management Company licensed by the Securities Commission of Malaysia
(2) Fund Management Company licensed by the Monetary Authority of Singapore</otherTypeOfPersonFiling>
      </item3>
      <item4>
        <amountBeneficiallyOwned>891,807</amountBeneficiallyOwned>
        <classPercent>6.4</classPercent>
        <numberOfSharesPersonHas>
          <solePowerOrDirectToVote>891,807</solePowerOrDirectToVote>
          <sharedPowerOrDirectToVote>0</sharedPowerOrDirectToVote>
          <solePowerOrDirectToDispose>891,807</solePowerOrDirectToDispose>
        </numberOfSharesPersonHas>
      </item4>
      <item5>
        <notApplicableFlag>Y</notApplicableFlag>
      </item5>
      <item6>
        <notApplicableFlag>Y</notApplicableFlag>
      </item6>
      <item7>
        <notApplicableFlag>Y</notApplicableFlag>
      </item7>
      <item8>
        <notApplicableFlag>Y</notApplicableFlag>
      </item8>
      <item9>
        <notApplicableFlag>Y</notApplicableFlag>
      </item9>
      <item10>
        <notApplicableFlag>N</notApplicableFlag>
        <certifications>By signing below I certify that, to the best of my knowledge and belief, the foreign regulatory scheme applicable to fund management companies licensed in Malaysia and Singapore is substantially comparable to the regulatory scheme applicable to the functionally equivalent U.S. institution(s). I also undertake to furnish to the Commission staff, upon request, information that would otherwise be disclosed in a Schedule 13D.

</certifications>
      </item10>
    </items>
    <signatureInformation>
      <reportingPersonName>AIMS Asset Management Sdn Bhd</reportingPersonName>
      <signatureDetails>
        <signature>Eileen Sim</signature>
        <title>Compliance Officer</title>
        <date>07/03/2025</date>
      </signatureDetails>
    </signatureInformation>
    <signatureInformation>
      <reportingPersonName>Seraya Investment Pte. Ltd.</reportingPersonName>
      <signatureDetails>
        <signature>Eileen Sim</signature>
        <title>Authorised Signatory</title>
        <date>07/03/2025</date>
      </signatureDetails>
    </signatureInformation>
  </formData>

</edgarSubmission>