OESX

Orion Energy Systems, Inc. OESX

Individual Beneficiary

Name of reporting person Citizenship or organization Sole voting power Shared voting power Sole dispositive power Shared dispositive power Amount beneficially owned Percent of class Accepted date
Tieton Capital Management Washington 0 2126164 0 2126164 2126164 6.5 % 01/02/2024
Tieton Capital Management Washington 0 2126164 0 2126164 2126164 6.5 % 01/02/2024
North Star Investment Management Corporation Delaware 1925000 1925000 1888702 3813702 11.73 % 10/01/2024
North Star Investment Management Corporation Delaware 1925000 1925000 1888702 3813702 11.73 % 10/01/2024
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 1284707 0 1284707 0 1284707 3.98 % 13/02/2023
Renaissance Technologies LLC Delaware 1284707 0 1284707 0 1284707 3.98 % 13/02/2023
Tieton Capital Management Washington 0 2087225 0 2087225 2087225 6.5 % 25/01/2023
Tieton Capital Management Washington 0 2087225 0 2087225 2087225 6.5 % 25/01/2023
North Star Investment Management Corporation Delaware 955000 955000 1662367 2617367 8.2 % 10/01/2023
North Star Investment Management Corporation Delaware 955000 955000 1662367 2617367 8.2 % 10/01/2023
Renaissance Technologies LLC Delaware 1587418 0 2006714 0 2006714 6.46 % 11/02/2022
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 1587418 0 2006714 0 2006714 6.46 % 11/02/2022
Renaissance Technologies LLC Delaware 1587418 0 2006714 0 2006714 6.46 % 11/02/2022
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 1587418 0 2006714 0 2006714 6.46 % 11/02/2022
North Star Investment Management Corporation Delaware 1978000 1978000 1607097 3585097 11.5 % 07/01/2022
North Star Investment Management Corporation Delaware 1978000 1978000 1607097 3585097 11.5 % 07/01/2022
BNP PARIBAS ASSET MANAGEMENT UK Ltd. UNITED KINGDOM 0 0 0 0 0 0 % 04/01/2022
BNP PARIBAS ASSET MANAGEMENT UK Ltd. UNITED KINGDOM 1559818 0 1559818 0 1559818 5.03 % 05/10/2021
BNP PARIBAS ASSET MANAGEMENT UK Ltd. UNITED KINGDOM 1559818 0 1559818 0 1559818 5.03 % 05/10/2021
BlackRock, Inc. Delaware 348576 0 348576 0 348576 1.1 % 12/07/2021
BNP PARIBAS ASSET MANAGEMENT UK Ltd. UNITED KINGDOM 3630221 0 3630221 0 3630221 11.8 % 03/03/2021
BNP PARIBAS ASSET MANAGEMENT UK Ltd. UNITED KINGDOM 3630221 0 3630221 0 3630221 11.8 % 03/03/2021
Renaissance Technologies LLC Delaware 2116775 0 2237292 0 2237292 7.28 % 11/02/2021
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 2116775 0 2237292 0 2237292 7.28 % 11/02/2021
BlackRock, Inc. Delaware 1666065 0 1677599 0 1677599 5.5 % 02/02/2021
North Star Investment Management Corporation Delaware 1410750 1410750 1517367 2928117 9.5 % 05/01/2021
North Star Investment Management Corporation Delaware 1410750 1410750 1517367 2928117 9.5 % 05/01/2021
Ariel Investments, LLC # 020712418. Delaware 436448 0 436448 0 436448 1.4 % 14/02/2020
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 2219399 0 2304240 11117 2315357 7.65 % 12/02/2020
Renaissance Technologies LLC Delaware 2219399 0 2304240 11117 2315357 7.65 % 12/02/2020
RENAISSANCE TECHNOLOGIES HOLDINGS CORPORATION Delaware 2219399 0 2304240 11117 2315357 7.65 % 12/02/2020
Renaissance Technologies LLC Delaware 2219399 0 2304240 11117 2315357 7.65 % 12/02/2020
North Star Investment Management Corporation Delaware 2270000 2270000 1770285 4040285 13.4 % 08/01/2020
North Star Investment Management Corporation Delaware 2270000 2270000 1770285 4040285 13.4 % 08/01/2020
Ariel Investments, LLC # Delaware 1738823 0 1812323 0 1812323 6.1 % 10/05/2019
Ariel Investments, LLC # Delaware 1738823 0 1812323 0 1812323 6.1 % 10/05/2019
North Star Investment Management Corporation Delaware 1707514 0 1707514 1352234 3059748 10.4 % 09/01/2019
North Star Investment Management Corporation Delaware 1707514 0 1707514 1352234 3059748 10.4 % 09/01/2019
Ariel Investments, LLC # Delaware 3669791 0 3758191 0 3758191 12.7 % 10/12/2018
Ariel Investments, LLC # Delaware 3669791 0 3758191 0 3758191 12.7 % 10/12/2018
Adirondack Research and Management, Inc. ________________________________________________________________________________________________ New York 0 1328938 0 1328938 4.6 % 08/02/2018
Adirondack Research and Management, Inc. New York 1328938 0 1328938 0 1328938 4.6 % 08/02/2018
North Star Investment Management Corporation Delaware 1522879 0 1522879 1036849 2559728 8.9 % 08/01/2018
North Star Investment Management Corporation Delaware 1522879 0 1522879 1036849 2559728 8.9 % 08/01/2018
Adirondack Research and Management, Inc. ________________________________________________________________________________________________ New York 0 1429258 0 1429258 5.1 % 15/02/2017
Adirondack Research and Management, Inc. ________________________________________________________________________________________________ New York 0 1429258 0 1429258 5.1 % 15/02/2017
Adirondack Research and Management, Inc. New York 1429258 0 1429258 0 1429258 5.1 % 14/02/2017
Ariel Investments, LLC # 020712418. Delaware 3960153 0 5163080 0 5163080 18.3 % 14/02/2017
North Star Investment Management Corporation Delaware 1720885 524120 2245005 7.9 % 10/01/2017
PVAM Perlus Microcap Fund L.P. Jersey, Channel Islands 0 0 % 07/07/2016
Pacific View Asset Management United Kingdom 0 0 % 07/07/2016
PVAM Holdings Ltd. United Kingdom 0 0 % 07/07/2016
PVAM Perlus Microcap Fund L.P. Jersey, Channel Islands 0 0 % 07/07/2016
Pacific View Asset Management United Kingdom 0 0 % 07/07/2016
PVAM Holdings Ltd. United Kingdom 0 0 % 07/07/2016
PVAM Perlus Microcap Fund L.P. Jersey Channel Islands 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
PVAM Holdings Ltd. United Kingdom 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
Pacific View Asset Management LLP United Kingdom 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
Pacific View Asset Management LLP United Kingdom 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
PVAM Perlus Microcap Fund L.P. Jersey Channel Islands 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
PVAM Holdings Ltd. United Kingdom 0 1978895 0 1978895 1978895 7.16 % 26/01/2016
North Star Investment Management Corporation Delaware 1714294 327824 2042118 7.4 % 19/01/2016
PVAM Perlus Microcap Fund L.P. Jersey Channel Islands 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
Pacific View Asset Management LLP United Kingdom 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
PVAM Perlus Microcap Fund L.P. Jersey Channel Islands 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
PVAM Holdings Ltd. United Kingdom 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
PVAM Holdings Ltd. United Kingdom 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
Pacific View Asset Management LLP United Kingdom 0 1409232 0 1409232 1409232 5.1 % 22/12/2015
Ariel Investments, LLC # Delaware 2267330 0 3472198 0 3472198 17.2 % 10/07/2013
Ariel Investments, LLC # Delaware 2267330 0 3472198 0 3472198 17.2 % 10/07/2013
NEAL R. VERFUERTH 1298687 6.4 % 14/02/2013
GE Ventures LLC Delaware 0 1570990 0 1570990 1570990 7.8 % 13/02/2013
General Electric Company New York 0 1570990 0 1570990 1570990 7.8 % 13/02/2013
GE Capital Equity Investments, Inc. Delaware 0 0 0 0 0 0 % 13/02/2013
General Electric Capital Corporation Delaware 0 0 0 0 0 0 % 13/02/2013
Ariel Investments, LLC # Delaware 1043145 0 2047393 0 2047393 10.2 % 10/01/2013
Neal R. Verfuerth United States 2193984 0 2193984 0 2193984 9.6 % 15/02/2011
ANCHORAGE ADVISORS MANAGEMENT, L.L.C. Delaware 0 0 0 0 0 0 % 16/02/2010
ANCHORAGE ADVISORS, L.L.C. Delaware 0 0 0 0 0 0 % 16/02/2010
ANCHORAGE CAPITAL MASTER OFFSHORE, LTD. Cayman Islands 0 0 0 0 0 0 % 16/02/2010
ANTHONY L. DAVIS United States of America 0 0 0 0 0 0 % 16/02/2010
KEVIN M. ULRICH Canada 0 0 0 0 0 0 % 16/02/2010

Senat trading

Bureau Date de la transaction Date de réception Type Amount Commentaire

Senat Divulgation

Représentant Date de la transaction Date de divulgation Type Amount District