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SLP Simulations Plus

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  • 35.100
  • -0.400-1.13%
Trading Apr 28 11:35 ET
705.90MMarket Cap97.50P/E (TTM)

Simulations Plus Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-2.43%5.67M
-886.42%-1.27M
-39.06%13.32M
-45.62%1.66M
-33.50%5.68M
4.85%5.81M
-96.56%162K
22.10%21.86M
-61.40%3.06M
125.30%8.55M
Net income from continuing operations
-23.70%3.07M
-89.41%206K
-0.07%9.95M
57.87%843K
-21.73%3.14M
-3.47%4.03M
56.22%1.95M
-20.20%9.96M
-44.43%534K
-1.93%4.01M
Operating gains losses
-73.33%-26K
22.22%-42K
-160.69%-105K
2,100.00%20K
-138.89%-56K
31.82%-15K
-203.85%-54K
165.28%173K
92.86%-1K
500.00%144K
Depreciation and amortization
105.79%2.27M
107.61%2.27M
47.53%5.67M
112.73%2.21M
33.65%1.26M
18.18%1.11M
18.20%1.09M
7.44%3.84M
22.00%1.04M
6.90%945K
Deferred tax
-90.54%-947K
110.31%40K
15.75%-1.77M
46.73%-399K
72.50%-481K
-223.33%-497K
---388K
-675.93%-2.1M
-234.38%-749K
-272.13%-1.75M
Other non cash items
----
----
-341.03%-1.64M
---1.37M
---600K
--440K
---110K
140.28%680K
----
----
Change In working capital
177.20%491K
-65.16%-5.43M
-182.54%-4.21M
-786.86%-1.2M
-78.78%915K
31.17%-636K
-313.43%-3.29M
294.77%5.1M
-96.77%175K
325.94%4.31M
-Change in receivables
-33.27%-3.69M
-2,429.66%-3.67M
-23.63%3.13M
486.26%3.07M
150.84%2.97M
-1,019.60%-2.77M
-106.94%-145K
204.09%4.1M
-89.08%524K
133.37%1.18M
-Change in prepaid assets
163.14%620K
177.27%578K
-4,211.63%-3.54M
-1,412.00%-1.64M
-588.24%-166K
-223.68%-982K
13.73%-748K
-87.75%86K
110.45%125K
-44.26%34K
-Change in payables and accrued expense
100.00%86K
199.42%518K
-442.05%-477K
2.17%-991K
-62.75%298K
-61.61%43K
1,230.77%173K
45.68%-88K
-422.16%-1.01M
7,900.00%800K
-Change in other current liabilities
2.60%3.36M
-92.34%-4.1M
-192.31%-768K
-211.18%-746K
-199.66%-1.17M
393.11%3.27M
-2,089.72%-2.13M
157.90%832K
-45.00%671K
61.07%1.17M
-Change in other working capital
156.65%115K
380.68%1.24M
-1,554.55%-2.56M
-579.55%-897K
-190.91%-1.02M
79.98%-203K
-320.00%-440K
-92.05%176K
-116.90%-132K
33.25%1.12M
Cash from discontinued investing activities
Operating cash flow
-2.43%5.67M
-886.42%-1.27M
-39.06%13.32M
-45.62%1.66M
-33.50%5.68M
4.85%5.81M
-96.56%162K
22.10%21.86M
-61.40%3.06M
125.30%8.55M
Investing cash flow
Cash flow from continuing investing activities
109.10%684K
81.39%-3.14M
-832.65%-53.97M
-19,234.62%-99.5M
782.85%69.91M
-240.51%-7.52M
-162.60%-16.86M
71.10%7.37M
-77.42%520K
146.35%7.92M
Capital expenditure reported
18.32%-709K
24.91%-639K
0.78%-3.19M
-0.75%-674K
8.46%-801K
-11.14%-868K
4.81%-851K
-2.16%-3.22M
24.41%-669K
-15.28%-875K
Net PPE purchase and sale
84.76%-66K
---86K
-24.94%-566K
91.84%-16K
-298.31%-117K
-109.18%-433K
--0
44.69%-453K
-148.10%-196K
296.67%59K
Net intangibles purchase and sale
29.09%-156K
24.70%-186K
9.98%-541K
59.76%-33K
90.72%-41K
-478.95%-220K
-533.33%-247K
---601K
---82K
---442K
Net business purchase and sale
--0
---227K
-1,101.18%-98.77M
----
----
--0
--0
---8.22M
----
----
Net investment purchase and sale
126.94%1.62M
87.31%-2M
147.24%49.11M
-100.04%-4K
672.28%70.87M
-194.04%-6M
-193.05%-15.77M
140.02%19.86M
196.60%9.69M
156.31%9.18M
Cash from discontinued investing activities
Investing cash flow
109.10%684K
81.39%-3.14M
-832.65%-53.97M
-19,234.62%-99.5M
782.85%69.91M
-240.51%-7.52M
-162.60%-16.86M
71.10%7.37M
-77.42%520K
146.35%7.92M
Financing cash flow
Cash flow from continuing financing activities
-47.15%-1.55M
127.91%288K
71.78%-6.57M
20.45%-945K
-463.06%-3.54M
94.99%-1.05M
-124.35%-1.03M
-205.25%-23.27M
-16.93%-1.19M
86.71%-628K
Net common stock issuance
----
----
--0
--0
----
----
----
---20M
--0
--0
Cash dividends paid
--0
--0
0.27%-4.8M
-0.50%-1.2M
0.00%-1.2M
-0.25%-1.2M
1.81%-1.2M
0.76%-4.81M
1.48%-1.2M
0.99%-1.2M
Proceeds from stock option exercised by employees
-80.82%28K
75.61%288K
-52.62%731K
3,112.50%257K
-71.33%164K
-84.84%146K
--164K
73.18%1.54M
-95.96%8K
276.32%572K
Net other financing activities
----
----
---2.5M
--0
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-47.15%-1.55M
127.91%288K
71.78%-6.57M
20.45%-945K
-463.06%-3.54M
94.99%-1.05M
-124.35%-1.03M
-205.25%-23.27M
-16.93%-1.19M
86.71%-628K
Net cash flow
Beginning cash position
-84.45%6.19M
-82.07%10.31M
11.55%57.52M
97.88%109.09M
-5.75%37.03M
-19.44%39.79M
11.55%57.52M
39.43%51.57M
30.17%55.13M
-34.92%39.29M
Current changes in cash
274.22%4.81M
76.75%-4.12M
-892.68%-47.21M
-4,229.64%-98.78M
354.96%72.06M
72.69%-2.76M
-715.36%-17.73M
-59.16%5.96M
-74.04%2.39M
187.90%15.84M
End cash Position
-70.32%10.99M
-84.45%6.19M
-82.07%10.31M
-82.07%10.31M
97.88%109.09M
-5.75%37.03M
-19.44%39.79M
11.55%57.52M
11.55%57.52M
30.17%55.13M
Free cash flow
10.47%4.74M
-133.44%-2.19M
-48.71%9.02M
-55.47%941K
-35.19%4.73M
-5.01%4.29M
-125.54%-936K
26.22%17.58M
-69.65%2.11M
142.60%7.29M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -2.43%5.67M-886.42%-1.27M-39.06%13.32M-45.62%1.66M-33.50%5.68M4.85%5.81M-96.56%162K22.10%21.86M-61.40%3.06M125.30%8.55M
Net income from continuing operations -23.70%3.07M-89.41%206K-0.07%9.95M57.87%843K-21.73%3.14M-3.47%4.03M56.22%1.95M-20.20%9.96M-44.43%534K-1.93%4.01M
Operating gains losses -73.33%-26K22.22%-42K-160.69%-105K2,100.00%20K-138.89%-56K31.82%-15K-203.85%-54K165.28%173K92.86%-1K500.00%144K
Depreciation and amortization 105.79%2.27M107.61%2.27M47.53%5.67M112.73%2.21M33.65%1.26M18.18%1.11M18.20%1.09M7.44%3.84M22.00%1.04M6.90%945K
Deferred tax -90.54%-947K110.31%40K15.75%-1.77M46.73%-399K72.50%-481K-223.33%-497K---388K-675.93%-2.1M-234.38%-749K-272.13%-1.75M
Other non cash items ---------341.03%-1.64M---1.37M---600K--440K---110K140.28%680K--------
Change In working capital 177.20%491K-65.16%-5.43M-182.54%-4.21M-786.86%-1.2M-78.78%915K31.17%-636K-313.43%-3.29M294.77%5.1M-96.77%175K325.94%4.31M
-Change in receivables -33.27%-3.69M-2,429.66%-3.67M-23.63%3.13M486.26%3.07M150.84%2.97M-1,019.60%-2.77M-106.94%-145K204.09%4.1M-89.08%524K133.37%1.18M
-Change in prepaid assets 163.14%620K177.27%578K-4,211.63%-3.54M-1,412.00%-1.64M-588.24%-166K-223.68%-982K13.73%-748K-87.75%86K110.45%125K-44.26%34K
-Change in payables and accrued expense 100.00%86K199.42%518K-442.05%-477K2.17%-991K-62.75%298K-61.61%43K1,230.77%173K45.68%-88K-422.16%-1.01M7,900.00%800K
-Change in other current liabilities 2.60%3.36M-92.34%-4.1M-192.31%-768K-211.18%-746K-199.66%-1.17M393.11%3.27M-2,089.72%-2.13M157.90%832K-45.00%671K61.07%1.17M
-Change in other working capital 156.65%115K380.68%1.24M-1,554.55%-2.56M-579.55%-897K-190.91%-1.02M79.98%-203K-320.00%-440K-92.05%176K-116.90%-132K33.25%1.12M
Cash from discontinued investing activities
Operating cash flow -2.43%5.67M-886.42%-1.27M-39.06%13.32M-45.62%1.66M-33.50%5.68M4.85%5.81M-96.56%162K22.10%21.86M-61.40%3.06M125.30%8.55M
Investing cash flow
Cash flow from continuing investing activities 109.10%684K81.39%-3.14M-832.65%-53.97M-19,234.62%-99.5M782.85%69.91M-240.51%-7.52M-162.60%-16.86M71.10%7.37M-77.42%520K146.35%7.92M
Capital expenditure reported 18.32%-709K24.91%-639K0.78%-3.19M-0.75%-674K8.46%-801K-11.14%-868K4.81%-851K-2.16%-3.22M24.41%-669K-15.28%-875K
Net PPE purchase and sale 84.76%-66K---86K-24.94%-566K91.84%-16K-298.31%-117K-109.18%-433K--044.69%-453K-148.10%-196K296.67%59K
Net intangibles purchase and sale 29.09%-156K24.70%-186K9.98%-541K59.76%-33K90.72%-41K-478.95%-220K-533.33%-247K---601K---82K---442K
Net business purchase and sale --0---227K-1,101.18%-98.77M----------0--0---8.22M--------
Net investment purchase and sale 126.94%1.62M87.31%-2M147.24%49.11M-100.04%-4K672.28%70.87M-194.04%-6M-193.05%-15.77M140.02%19.86M196.60%9.69M156.31%9.18M
Cash from discontinued investing activities
Investing cash flow 109.10%684K81.39%-3.14M-832.65%-53.97M-19,234.62%-99.5M782.85%69.91M-240.51%-7.52M-162.60%-16.86M71.10%7.37M-77.42%520K146.35%7.92M
Financing cash flow
Cash flow from continuing financing activities -47.15%-1.55M127.91%288K71.78%-6.57M20.45%-945K-463.06%-3.54M94.99%-1.05M-124.35%-1.03M-205.25%-23.27M-16.93%-1.19M86.71%-628K
Net common stock issuance ----------0--0---------------20M--0--0
Cash dividends paid --0--00.27%-4.8M-0.50%-1.2M0.00%-1.2M-0.25%-1.2M1.81%-1.2M0.76%-4.81M1.48%-1.2M0.99%-1.2M
Proceeds from stock option exercised by employees -80.82%28K75.61%288K-52.62%731K3,112.50%257K-71.33%164K-84.84%146K--164K73.18%1.54M-95.96%8K276.32%572K
Net other financing activities -----------2.5M--0------------------------
Cash from discontinued financing activities
Financing cash flow -47.15%-1.55M127.91%288K71.78%-6.57M20.45%-945K-463.06%-3.54M94.99%-1.05M-124.35%-1.03M-205.25%-23.27M-16.93%-1.19M86.71%-628K
Net cash flow
Beginning cash position -84.45%6.19M-82.07%10.31M11.55%57.52M97.88%109.09M-5.75%37.03M-19.44%39.79M11.55%57.52M39.43%51.57M30.17%55.13M-34.92%39.29M
Current changes in cash 274.22%4.81M76.75%-4.12M-892.68%-47.21M-4,229.64%-98.78M354.96%72.06M72.69%-2.76M-715.36%-17.73M-59.16%5.96M-74.04%2.39M187.90%15.84M
End cash Position -70.32%10.99M-84.45%6.19M-82.07%10.31M-82.07%10.31M97.88%109.09M-5.75%37.03M-19.44%39.79M11.55%57.52M11.55%57.52M30.17%55.13M
Free cash flow 10.47%4.74M-133.44%-2.19M-48.71%9.02M-55.47%941K-35.19%4.73M-5.01%4.29M-125.54%-936K26.22%17.58M-69.65%2.11M142.60%7.29M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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