SIMULATIONS PLUS INC

Ticker: SLP CUSIP: 829214105 Class: Common Stock

Note: Option positions (PUT/CALL) are excluded.

New Positions (29)

Increased Positions (55)

First Light Asset Management, LLC
Value ($000) $35,893 (+210.2%) Shares 1,968,917 (+156.4%)
PRESCOTT GROUP CAPITAL MANAGEMENT, L.L.C.
Value ($000) $1,839 (+52.5%) Shares 100,885 (+26.1%)
PDT Partners, LLC
Value ($000) $1,746 (+80.5%) Shares 95,792 (+49.2%)
Stephens Investment Management Group LLC
Value ($000) $9,365 (+58.2%) Shares 513,728 (+30.8%)
NICHOLAS COMPANY, INC.
Value ($000) $4,789 (+72.9%) Shares 262,712 (+42.9%)
First Eagle Investment Management, LLC
Value ($000) $8,334 (+2317.0%) Shares 457,155 (+1898.1%)
GSA CAPITAL PARTNERS LLP
Value ($000) $1 (+223.6%) Shares 62,322 (+167.9%)
Illumine Investment Management, LLC
Value ($000) $590 (+24.7%) Shares 32,378 (+3.1%)
KENNEDY CAPITAL MANAGEMENT LLC
Value ($000) $7,272 (+30.4%) Shares 398,902 (+7.8%)
ROYCE & ASSOCIATES LP
Value ($000) $7,336 (+39.6%) Shares 402,416 (+15.4%)
Caitong International Asset Management Co., Ltd
Value ($000) $73 (+435.9%) Shares 3,983 (+343.0%)
MARSHALL WACE, LLP
Value ($000) $10,387 (+175.2%) Shares 569,783 (+127.5%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $4,084 (+198.7%) Shares 224,053 (+147.0%)
Susquehanna Portfolio Strategies, LLC
Value ($000) $1,221 (+73.9%) Shares 67,002 (+43.7%)
GOLDMAN SACHS GROUP INC
Value ($000) $7,800 (+358.0%) Shares 427,865 (+278.6%)
AQR CAPITAL MANAGEMENT LLC
Value ($000) $1,859 (+369.6%) Shares 101,979 (+288.2%)
TWO SIGMA ADVISERS, LP
Value ($000) $1,019 (+363.2%) Shares 55,900 (+282.9%)
Hennion & Walsh Asset Management, Inc.
Value ($000) $646 (+49.1%) Shares 35,432 (+23.2%)
RICE HALL JAMES & ASSOCIATES, LLC
Value ($000) $1,279 (+28.5%) Shares 70,185 (+6.2%)
Schonfeld Strategic Advisors LLC
Value ($000) $602 (+247.8%) Shares 33,009 (+187.5%)

Decreased Positions (52)

Kopion Asset Management, LLC
Value ($000) $2,450 (-12.3%) Shares 134,388 (-27.5%)
Tributary Capital Management, LLC
Value ($000) $9,495 (+10.8%) Shares 520,855 (-8.4%)
Quantbot Technologies LP
Value ($000) $483 (-46.1%) Shares 26,511 (-55.4%)
Rockefeller Capital Management L.P.
Value ($000) $10,170 (-9.5%) Shares 557,866 (-25.2%)
Walleye Capital LLC
Value ($000) $808 (-65.1%) Shares 44,302 (-71.2%)
ExodusPoint Capital Management, LP
Value ($000) $272 (-70.0%) Shares 14,902 (-75.2%)
FEDERATED HERMES, INC.
Value ($000) $182 (-90.5%) Shares 10,000 (-92.1%)
AlphaQuest LLC
Value ($000) $52 (-69.5%) Shares 2,831 (-74.8%)
CONNORS INVESTOR SERVICES INC
Value ($000) $284 (-12.7%) Shares 15,570 (-27.8%)
MORGAN STANLEY
Value ($000) $18,233 (-6.7%) Shares 1,000,149 (-22.9%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $2,689 (-41.7%) Shares 147,490 (-51.8%)
BANK OF AMERICA CORP /DE/
Value ($000) $3,034 (-45.5%) Shares 166,423 (-55.0%)
UBS Group AG
Value ($000) $1,403 (-61.5%) Shares 76,955 (-68.1%)
CITADEL ADVISORS LLC
Value ($000) $5,050 (-5.0%) Shares 277,015 (-21.4%)
DIMENSIONAL FUND ADVISORS LP
Value ($000) $6,348 (+2.5%) Shares 348,234 (-15.2%)
ROYAL BANK OF CANADA
Value ($000) $465 (-58.6%) Shares 25,467 (-65.9%)
JPMORGAN CHASE & CO
Value ($000) $2,375 (-6.0%) Shares 130,280 (-22.3%)
JANE STREET GROUP, LLC
Value ($000) $3,082 (+1.0%) Shares 169,053 (-16.5%)
STATE STREET CORP
Value ($000) $6,650 (+10.7%) Shares 364,773 (-8.5%)
NORTHERN TRUST CORP
Value ($000) $3,418 (+9.2%) Shares 187,514 (-9.7%)

Exited Positions (29)