Financial Database

Recent public offerings, shelf filings and information on market capitalisation and shares outstanding.

CompanyPriceOutstanding SharesMarket Cap ($)Recent S-3 Shelf filingNotes
AAVL
34.6421,931,894759,720,808
ABIO
0.8121,019,11816,920,390$75m Apr 2014$18m proceeds from May 2013 offering
ACAD
28.4397,348,8562,767,628,00620m shares Dec 2011$86.4m from Dec 2012 private placement. $115m gross proceeds from May 2013 offering. Mar 2014 offering $182.4 million proceeds
ACHN
13.16101,313,6791,333,288,000$150m Mar 2014$41.8m gross proceeds from Aug 2012 offering. $133.5m proceeds from Feb 2013 offering
ACOR
35.9442,123,0681,513,903,064Automatic shelf registration Jan 2010
ACRX
6.5044,514,292289,342,898$50m Aug 2012$10m gross proceeds from Jun 2012 private placement. $44.2m approx net proceeds Dec 2012 offering.$48m proceeds from Jul 2013 offering
ACUR
0.5748,100,70227,354,870$75m Mar 2013
ADHD
3.5213,055,60045,955,712$100m July 2014$38m gross proceeds Oct 2013 offering
ADMS
14.8317,010,297252,262,705
AEGR
21.3727,877,121595,734,099Automatic shelf filing Feb 2013$47.3m proceeds expected from Jun 2012 offering
AERI
25.0323,936,571599,132,389$150m shelf Nov 2014
AEZS
0.5357,463,60330,628,100$100m May 2012Raised $6.4m 1Q 2012 through ATM issuance. $15.2m raised from Oct 2012 offering. $4.6m May 2013 ATM offering. $7m from Jul 2013 offering. $15.1m proceeds Nov 2013 offering. Jan $13.2m offering. $15m ATM May 2014.
AFMD
5.9522,747,463135,347,405
AGEN
2.9363,540,237186,172,899$150m Mar 2012$12.8m license revenue + 2.8m ATM issuance program both during 1Q 2012
AGRX
5.9418,373,855109,140,700
AKBA
14.3121,051,523301,247,294
ALDR
15.7030,139,389473,188,407
ALDX
7.535,358,46740,349,257
ALIM
5.3744,791,062240,527,998$100m Aug 2014 July 2012 $40 million Series A Convertible Preferred Stock (Series A Preferred) financing. $37.5m proceeds Jan 2014 private placement. $35m ATM offering Sept 2014
ALIOF
112.19115,664,08412,976,353,600
ALKS
56.40143,236,5988,077,828,010$250m offering Jan 2014
ALNY
91.7275,270,3446,903,796,044Automatic Shelf$173.8m Jan 2013 offering
ALXA
1.5419,152,68929,495,140$40m Jun 2012$20m Common Stock Purchase Agreement July 2012. $6.4m raised May 2013
ALXN
190.83200,074,09538,180,139,549Automatic Shelf
AMAG
36.0021,843,133786,352,788Automatic Shelf Jan 2010$175m convertible notes offering Feb 2014
AMBI
15.6018,000,121280,801,888100m Aug 2014May 2013 IPO
AMPE
3.4152,277,095178,264,894$100m Dec 2013Jul 2012 offering $16,912,545 gross proceeds. $25m proceeds Sept offering
AMRN
1.31164,840,542215,941,101$300m Aug 2014$144.3m from notes Jan 2012. $121m proceeds Jul 2013 offering
ANAC
32.2342,697,5491,376,141,985$50m Aug 2013Feb 2012 offering raising $19.9m. $28m gross proceeds from Oct 2012. $25m ATM filed Jan 2013. Apr 2013 offering $20m. $45m loan facility established Jun 2013
ANIK
40.6114,325,437581,756,005
ANTH
1.8223,254,65942,323,481$100m Apr 2013July 2012 offering. Gross proceeds $37,950,000. Jan 2013 offering gross proceeds $40m. $25m ATM Nov 2013
APPY
1.4330,773,31644,005,840$20m Oct 2013Jun 2012 offering. Gross proceeds $12.2m. May 2013 offering $12.5m. April 2014 offering $20m.
APRI
1.3743,623,75959,764,550$100m Dec 2011Feb 2012 offering raising $18.4m +1Q 2012 ATM issuance raising $1.1m
ARDX
22.8118,019,900411,033,909
ARGS
8.5020,603,741175,131,799
ARIA
6.52188,648,1601,229,986,000Automatic Shelf 2011$310m net proceeds Jan 2013 offering
ARNA
4.17220,642,850920,080,701Automatic Shelf May 2012$52.6m in proceeds from sale of common and preferred stock 1Q 2012
ARQL
1.2663,766,44580,345,720$100m Dec 2013Jan 2012 offering raising $46.8m. Also Apr 2012 offering raising $56m
ARRY
3.76130,208,484489,583,899$200m Dec 2012Feb 2012 offering raising $56m in proceeds. $70.9m net proceeds from Dec 2012 offering. $75m ATM March 2013. $111m proceeds from Jun offering of convertible notes
ARWR
5.9051,473,762303,695,201$200m Feb 2014
ASMB
8.5410,678,22791,192,059$100m Jan 2012Gross proceeds $22.2m from Jan 2013 offering. $25m ATM 2013. New ticker July 2014, previously known as VTUS. $15m offering Sept 2014
ASPX
24.7127,426,128677,699,623$70m offering July 2014
ASTM
2.7923,956,15866,837,680$100m Jun 2011$37.7m proceeds from March 2012 offering. $8.7m gross proceeds from Aug 2013 offering. $40m Sept 2014 offering
ATHX
1.4650,716,896110,071,80030m shares Mar 2014Mar 2012 private placement raising $8.1m. $20m offering Oct 2012. $25m private purchase agreement Oct 2013. $20.5m offering Jan 2014
ATOS
0.9122,941,930110,071,800$14m Jan 2014 offering
ATRA
26.8719,618,615527,152,185
ATRS
2.24134,623,571301,556,800$100m Jul 2010Oct 2012 offering $47m proceeds
AUXL
33.5075,391,6421,699,016,016Automatic Shelf Jan 2013Feb 2012 up-front payment of $10,000,000 received from Actelion
AVEO
0.9053,369,11748,074,900$250m Dec 2011$53.8m net proceeds from Jan 2013 offering
AVNR
13.88192,483,5722,671,672,001$100m Aug 2012$230m offering Sept 2014
AZN
74.561,251,187,27393,288,523,075Automatic Shelf 2010
BCRX
10.3372,002,982743,790,799$125m Oct 2013$20m ATM May 2013. $20.2m gross proceeds from Aug 2013 offering. $115m offering May 2014
BDSI
14.2951,896,060741,594,695$40m Jan 2012Jan 2012 $15m milestone payment by Endo.. Apr 2012 - $30m received
BIIB
303.55232,693,43770,634,092,801
BIND
7.5516,679,046125,926,800$100m Oct 2014$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering
BIOD
1.5923,145,95036,802,060$75m May 2013$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering. $15m purchase agreement signed July 2014
BLRX
1.2734,383,70143,667,300$75m Aug 2012$24.1m offering Mar 2014
BLUE
41.3129,624,8851,223,803,999$100m offering July 2014
BMRN
85.83145,060,23212,450,519,713Automatic Shelf May 2012$300m notes offering Oct 2013
BMY
58.8035,579,6082,092,080,950Automatic Shelf Jul 2012
BOTA
2.201,653,416,5183,637,516,340$75m August 2013$26.9m offering Jan 2014
CALA
9.8017,820,612174,641,998
CARA
8.9522,943,931205,348,182
CBRX
5.8510,955,98564,092,511$4m raised through May 2012 offering
CBST
73.5976,067,2145,597,786,278Automatic Shelf Oct 2010
CCXI
4.7044,815,938210,634,900$150m shelf Mar 2013$64.4m proceeds from Apr 2013 offering
CELG
108.20792,429,78285,740,902,412Automatic Shelf Oct 2010
CEMP
13.6335,311,702481,298,502$150m Nov 2014$25m private placement Oct 2012. $54.2m proceeds from Jun 2013 offering
CERS
4.2678,820,583335,775,702$250m Aug 20141Q 2012 $9.2m proceeds through ATM issuance. $40m ATM offering March 2014
CERU
5.2120,163,685105,052,799
CLDN
11.7523,304,630273,829,403$44m Aug 2014 offering
CLDX
20.8387,997,7441,832,993,001$200m Dec 2012$44m controlled equity offering sales agreement Sept 2012. $84.3m net proceeds from Feb 2013 offering. $163m proceeds Dec 2013 offering
CLSN
2.5818,969,97748,942,539$75m Aug 2012$13.6m proceeds from Feb 2013 offering. $15m January 2014 offering
CLVS
48.6035,494,9391,725,053,981Automatic Shelf Jun 2013Apr 2012 offering raising $70.5m. Jun 2013 offering $240m
CMRX
34.7735,478,8321,233,599,005$200m March 2014$119m offering May 2014
CNAT
6.9215,780,058109,198,003$150m Aug 2014
CNDO
1.8844,076,48982,863,799$200m Jul 2013
CORI
5.3418,506,04898,822,296
CORT
2.99102,543,879306,606,199$100m Mar 2014March 2012 offering raising $12.9m
CPIX
5.0917,494,47989,046,901$100m Sep 2012
CPRX
2.6369,774,877183,856,800$100m Jan 2014$4.8m approx to be raised from May 2012 offering. $6m raised from Aug 2012 offering. $15.1m gross proceeds Sept 2013 offering. Apr 2014 offering $26.8m proceeds
CRIS
1.3182,722,217108,366,100$120m Jul 2013$30m ATM signed Jul 2013
CSII
28.8531,607,424911,874,194$75m Oct 2013$33m net proceeds from Mar 2013 offering. $84.5m Nov 2013 offering
CTIC
2.22146,711,485325,699,501$150m Aug 2012$27.4m (due to make $15m payment to close the acquisition with S*BIO). $60m preferred stock issued Oct 2012. $15 Million Loan Financing Agreement Mar 2013
CUR
2.7887,988,166244,607,099$100m June 2014Feb 2012 offering with $4.9m. Sep 2013 offering $4.1m proceeds. Oct 2013 $20m ATM. Jan 2014 $19.65m offering
CVM
0.5893,616,80854,260,300$50m Jan 20134Q 2011-1Q 2012 proceeds from sale of stock ($9.2m) and the exercise of warrants ($2.7m). Expect $5.6m from Jun 2012 registered offering. $16.4m proceeds from Oct 2013 offering. $3.3m offering Dec 2013. $1m offering Oct 2014.
CYCC
2.9522,976,47467,780,599$75m Apr 2013$20.5m gross raised May 2013. $10m offering Apr 2014
CYTK
4.1136,875,984151,560,299$100m Nov 2011$2.8m raised through ATM issuance during 1Q 2012. $60m gross proceeds expected from Jun 2012 offering. $37m offering Feb 2014. $13.5m Oct 2014 offering
CYTR
2.5555,955,178142,685,701$100m Nov 2013$25.9m proceeds from Oct 2013 offering. $86m offering Jan 2014
DARA
0.8118,150,64914,692,950$30m Apr 2011$1.5m raised from sale of preferred stock and warrants. $10.25m raised in offering Apr 2012. Raised $2.8m Dec 2012. $2.73 ATM Aug 2013. $2.55m Oct 2013 offering. $6m offering Feb 2014. $12.5m offering May 2014
DBVT
25.31
DCTH
1.439,573,04213,689,450$100m Aug 2012$21m raised throught ATM during 1Q 2013. New $50m ATM agreement Mar 2013
DEPO
15.4657,638,532891,091,707$100m May 2012
DERM
16.3624,359,412398,519,980
DNDN
#N/A#N/AAutomatic Shelf Dec 2009
DPRX
10.468,562,36489,562,327
DRNA
11.1217,149,946190,707,400
DRRX
0.95114,872,107109,128,500$200m Mar 2014$11.5m offering Nov 2013
DRTX
0.0026,793,419#N/A$46.3m proceeds Apr 2013 offering
DSCI
8.4425,128,733212,086,507$75m Dec 2013$80.7m net proceeds Jan 2014 offering
DSCO
1.5285,898,883130,566,301$200m Jun 2011$42.1m proceeds from Mar 2012 offering. May 2013 offering $14.3m gorss proceeds
DVAX
14.2926,698,174381,516,905$150m Jul 2011$50m ATM offering Mar 2013. $133m proceeds from Oct 2013 offering of stock and warrants
DYAX
13.27135,899,3921,803,384,994$150m Oct 2013$30m offering May 2013. $65m offering Oct 2013. $80m offering March 2014
EARS
4.4228,115,497124,270,497
EBS
24.5637,093,327911,012,111$180m May 2012$250 million Convertible Senior Notes due 2021 (Jan 2014)
ECTE
0.6711,500,4037,705,270$75m Aug 2011$12.5 m gross proceeds from Jun 2013 offering
ECYT
6.4741,452,258268,196,101Automatic Shelf March 2014March 2014 offering $95m
EDAP
2.3321,040,54649,024,471$12m offering May 2013
EGLT
6.9216,534,364114,417,799
ENTA
43.5018,796,221817,635,614
ENZN
1.0643,725,90846,349,460
EPZM
22.4935,788,604804,885,696
ESPR
29.6420,081,994595,230,290$150m June 2014$92m Oct 2014 offering
ETRM
1.4368,620,66798,127,550
EVOK
5.856,237,46736,489,181
EXAS
23.9879,015,6811,894,795,994$200m Mar 2013$73m proceeds from Jun 2013 offering. $146.6m offering Apr 2014
EXEL
1.77191,907,064339,675,500Automatic shelf filed Jun 8 2012Feb 2012 $65m raised from offering. $75.6m offering Jan 2014
FATE
4.2418,677,40479,192,189$100m Oct 2014
FLML
13.8939,693,160551,338,006Sept 2012$105m offering Mar 2014
FLXN
16.6816,095,731268,476,793
FOLD
6.9793,107,592648,959,897$145m Jun 2012March 2012 offering $62m proceeds
FOMX
5.2721,760,987114,680,401
FPRX
15.7521,536,990339,207,592$43m offering Feb 2014
FURX
104.7710,816,0051,133,192,808$100m Dec 2013$10m milestone received May 2012 following MAA validation
FWP
20.37
GALE
2.07109,135,366225,910,208$150m May 2013May 2010Apr 2012 offering raising $13.3m. $24.25m approx proceeds from Dec 2012 offering. May 2013 $20m ATM. $36m net proceeds from Sep 2013 offering. $55m ATM Nov 2014
GBIM
6.865,816,02239,897,911
GERN
3.70138,091,160510,937,299$200m Jul 2012$97m offering Jan 2014
GEVA
74.7431,587,2892,360,833,987$150m May 2012$115m gross proceeds from Jul 2012 offering. $179m proceeds Sept 2013 offering
GHDX
33.1731,013,9281,028,732,001$10m shares May 2013
GILD
100.581,508,813,852151,756,497,234Automatic shelf filed Mar 2011
GLMD
5.8810,364,19960,941,490
GLYC
9.2118,217,731167,785,303
GNCA
9.0517,610,154159,371,894July 2014 offering
GNVC
1.9916,749,26133,331,030$150m May 2010$24.2m
GSK
46.402,426,277,937112,579,296,277Automatic shelf filed Mar 2011
GTXI
0.5674,670,46141,807,990$100m May 2011$21.3m private placement Mar 2014. Nov 2014 private placement approx $45m
GWPH
78.9519,477,0751,537,715,012$60m Dec 2013$101m offering following IPO Jan 2014. $170m offering June 2014
HALO
8.52123,915,3691,055,759,001Automatic shelf Feb 2012$81.5m raised in Feb 2012 from offering. $107.8m raised from Feb 2014 offering
HEB
0.26205,351,81654,007,530$150m Jun 2012
HPTX
20.6720,873,851431,462,502$64.5m net proceeds Mar 2013 offering
HRTX
8.0528,600,12462,453,882$100m May 2014$63m offering June 2014
HTBX
4.526,496,09329,362,340
HZNP
11.93123,834,0291,477,339,966$175m Aug 2012Private placement Mar 2012 raised approx $47m. Proceeds $55m from Feb 2012 loan. $75m ATM agreement Aug 2012. Sept offering with net proceeds of $81m
ICEL
6.9315,996,566110,856,202$90m Sep 2014
ICPT
154.8721,515,5303,332,110,131Automatic shelf Apr 2014$62m proceeds from Jun 2013 offering
IDIX
0.00151,503,7820200m Feb 2014Aug 2012 offering $190.6m net proceeds. $106.7m Jan 2014 offering
IDRA
2.5185,468,805214,526,701$75m Aug 2010$16.5m from May 2013 offering. $36m from Feb 2014 offering
IMGN
9.8484,538,302831,856,892Automatic shelf May 2011Offering July 2012 6.25m shares priced at $16
IMMU
3.7293,758,978348,783,39820m shares Oct 2012$16.1m gross proceeds from Feb 2013 offering
IMMY
8.279,076,25275,060,604
IMUC
0.6464,070,71941,005,260$50m Sept 2012$17m ATM Apr 2013
INCY
72.27167,399,06712,097,930,572$180m Sept 2009$700m notes Nov 2013
INFI
14.2148,766,882692,977,393$100m Apr 2011$88.4m proceeds from Aug 2012 offering. $172.5m gross proceeds Dec 2012 offering
INNL
8.6618,917,887163,828,901
INO
9.9860,408,951602,881,331$175m July 2014$55m offering Feb 2014
INSM
13.5248,636,433657,564,574$100m May 2013Access to $20m loan Jul 2012. Sept 2012 offering $26m proceeds. Jul 2013 $63m offering. Aug 2014 $115m offering
IPXL
30.8072,613,2812,236,489,055
IRWD
13.84137,917,2671,908,774,975Automatic Shelf Feb 2012$85.2m proceeds from Feb 12 offering. $137.7m proceeds from offering May 2013
ISIS
50.94119,718,1816,098,444,140Automatic Shelf May 2013$29m upfront payment from Biogen Idec Jan 2012. $25m milestone for NDA filing. Offering Aug 2012 not proceeds approx $194.8m. Offering May 2013 $183m gross proceeds.
ITMN
0.00107,969,1630$300m Jun 2013$85m Jan offering. $91.5m proceeds Nov 2013 offering
JAZZ
170.1060,399,53710,273,961,300Automatic Shelf Jan 2012
JNJ
107.862,807,415,152302,807,798,295Automatic Shelf Feb 2011
KBIO
1.9333,158,73763,996,362$100m Sep 2013$32.1m proceeds from Sept 2013 offering
KERX
15.7090,944,7781,427,833,015$100m Jan 2011$55m Jan 2013 offering. $90m Jan 2014
KITE
44.6337,214,7651,660,894,962
KOOL
1.1540,636,82746,732,351$11.3m offering June 2014
KPTI
41.2133,168,7461,366,884,023$121m offering June 2014
KYTH
35.7722,047,738788,647,588$200m Sep 2014$100m offering Oct 2013
LGND
53.0520,196,7771,071,439,020$30m Oct 2011
LLY
67.361,104,173,23874,377,109,312Automatic Shelf Mar 2013
LMNX
18.0943,235,716782,134,102Automatic Shelf Jun 2008
LPCN
5.3943,235,716233,040,509$100m Oct 2014
LPTN
2.5719,502,63150,121,762$40m Jun 2013$20m ATM Aug 2013. $12.5m offering Sept 2014
LXRX
0.95544,640,744517,408,707$200m Jan 2011Oct 2012 offering $37m approx gross proceeds
MACK
9.03106,704,953963,545,726 Offering - July 2013, of $50 million of its common stock and $75 million of its convertible senior notes
MCUR
7.4316,262,463120,830,100
MDCO
25.6966,209,6521,700,925,960Automatic Shelf Jun 2007$175m gross proceeds from Aug 2013 offering
MDVN
109.2879,024,0038,635,743,048Automatic shelf Mar 2011Mar 2012 -$258.8m from convertible notes
MDWD
5.3322,736,342121,184,703
MEIP
6.6722,352,369149,090,301$50m Apr 2011Apr 2013 offering $15.2m proceeds. $35m proceeds Oct 2013 offering
MELA
1.686,000,93510,081,571$75m May 2013ATM issuance program with proceeds of $14.4m, ended Feb 2013.$7.2m net proceeds from Feb 2013 offering. $12.45m private placement Jan 2014
MGNX
27.2126,661,100725,448,531$66m offering Feb 2014
MNKD
6.18403,730,4322,495,054,070$500m Aug 2012$80.6m proceeds from Jan offering. $80m gross proceeds from Oct 2012 offering
MNOV
3.0624,535,90975,079,882$100m Nov 2012
MNTA
11.5152,174,908600,533,191Automatic shelf Apr 2013
MRK
59.662,837,494,141169,284,900,452Automatic shelf Dec 2012
MRNS
7.1012,962,10492,030,938
MSTX
0.47163,495,72476,842,990$150m Mar 2012$22.9m proceeds from Jun 2013 offering. $30m ATM Feb 2014
NAVB
1.25145,916,800182,396,000$100m Apr 2011Gross proceeds $4.8m from Jan 2013 offering. $5.1m gross proceeds from Apr 2013
NBIX
18.9574,561,2631,412,935,934$150m Nov 2012Jan offering $83m proceeds. Feb 2014 offering $142m proceeds
NBS
4.0439,365,273159,035,703$40.35m offering Oct 2013
NBY
0.7252,342,15137,686,349$50m Mar 2012$6.34m approx net proceeds from Dec 2012 offering
NERV
4.3318,737,58081,133,721
NKTR
14.67125,377,0271,839,280,986Automatic shelf Jan 2014Sold CIMZIA and MIRCERA rights for $124m in Feb 2012. July 2012 - private placement of $125 million of 12.0% Senior Secured Notes due 2017. $116.5m offering Jan 2014
NLNK
35.3326,527,148937,204,139$150m Jan 2013$49m proceeds from Jan 2013 offering. $60m ATM agreement signed Sept 2013
NPSP
32.00105,504,2193,376,135,008$150m Aug 2011$93.4m net proceeds from offering May 2013
NRX
4.058,795,97235,623,687
NSPR
1.0941,234,30144,945,388$75m Oct 2013$40m ATM Oct 2013
NVAX
5.10235,672,3571,201,929,021$200m Apr 2013$7.9m raised through ATM issuance 1Q 2012. $12.2m offering May 2012. $92.6m proceeds Sept 2013 offering.$115m offering Jun 2014
NVGN
1.807,465,05013,437,090
NVS
94.982,725,603,189258,877,790,891Automatic shelf Sep 2012
NWBO
5.0664,063,123324,159,402$11.5m offering Oct 2014
NYMX
0.5740,598,60323,141,204
OCRX
5.8118,042,806104,828,703$25m offering July 2014
OCUL
15.5421,157,780328,791,901
OGXI
2.1020,774,18243,625,782$100m Nov 2012Mar 2012 offering raised $53.8m.$25m ATM agreement Jun 2013
OHRP
7.4324,728,803183,735,006$18m offering Apr 2014.
OMER
20.1234,956,614703,327,074$100m Oct 2013$32.3m proceeds from Jul 2012 offering. $60m ATM agreement entered into Dec 2012. $16.1m offering May 2013. $$40.25m offering Mar 2014
ONCY
0.6984,494,61458,301,284$150m (Canada) Jun 2010 $19.8m proceeds from 1Q 2012 offering. $32m gross proceeds from Feb 2013 offering. $20m ATM Oct 2014
ONTX
4.8193,722,955450,807,414$100m Oct 2014$20m ATM offering Oct 2014
ONTY
1.6993,722,955158,391,794$150m Dec 2011Apr 2012 offering $50.3m proceeds. May 2013 offering $9.8m proceeds. $50m ATM offering Sept 2014
OPHT
40.8133,461,5281,365,564,958Feb 2014 offering approx $60m proceeds
OPK
8.15433,079,1613,529,595,162$250m Feb 2011
OPXA
0.8128,705,42023,251,390$35m Nov 2012$3.25m Feb 2013 offering. $18.975m proceeds from Sept 2013 offering. $8.1m offering Dec 2013
OREX
5.88120,652,617709,437,388$150m Sep 2012Oct 2012 offering $56.5m proceeds. Nov 2013 $100m convertible notes
ORPN
4.5514,793,44367,310,166
OSIR
13.1234,163,095448,219,806
OTIC
23.3420,380,064475,670,694
OXGN
1.7920,936,86137,476,981$50m May 2012$50m May 2012 -includes $10m ATM. $5m private placement Apr 2013. $12m offering Feb 2014
PBMD
0.9343,749,35540,686,900
PBTH
8.2363,854,883525,525,687$75m Apr 2012May 2012 offering expected to yield $35m approx
PBYI
224.0829,830,5206,684,422,922Jan 2014$129m proceeds from Jan 2014 offering
PCRX
88.7337,266,5713,306,662,845$150m Mar 2012Apr 2012 offering with proceeds of $55m. April 2014 offering $100m
PCYC
140.3374,564,81110,463,679,928Automatic shelf Mar 2013$50m milestone payment rec'd Aug 2012
PFE
30.456,298,587,691191,791,995,191Automatic shelf May 2012
PFNX
7.8520,740,382
PFNX
7.8520,740,382162,811,999
PGNX
6.7765,959,705446,547,203$150m Jan 2014Nov 2012 offering $22m gross proceeds.$34.8m proceeds from Jun 2013 offering. $50m ATM offering Jan 2014
PLX
2.09362,577,383757,786,730$150m Jan 2011Feb 2012 offering with $25.4m proceeds. $25m milestone payment received Jun 2012. $69m convertible notes offering Sept 2013
POZN
8.8632,331,107286,453,6088m shares Dec 2011
PPHM
1.43176,994,832253,102,610$100m Dec 2013
PRAN
1.6850,151,02584,253,722$50m May 2011$A7m proceeds from private placement Mar 2013
PRTA
22.0627,632,394609,570,612
PRTO
10.3414,819,893153,237,694
PSDV
3.9029,347,589114,455,597$30m Dec 2012$5.36m offering Aug 2012. $10.8m offering Jul 2013. $19m ATM Dec 2013
PSTI
2.5970,348,960182,203,806$150m Sep 2011$34m net proceeds from Sep 2012 offering
PTCT
39.7733,323,7111,325,283,986$75m offering Feb 2014
PTIE
1.8042,451,51276,412,722$150m Aug 2010
PTLA
27.3548,329,9811,321,824,980May 2013 IPO. $100m proceeds Oct 2013 offering . $161m offering Oct 2014
PTN
0.7939,975,03731,580,279
QLTI
3.9950,680,702202,216,001
QRXPY
0.0756,762,8573,973,400
RARE
44.0932,318,3031,424,913,979Offering July 2014 - APPROX $52M
RCPT
119.1930,720,3953,661,563,955$150m June 2014$117m offering Jan 2014. $178, offering June 2014. $345m offering Nov 2014
RDUS
22.2234,316,653762,516,006$150m Sept 2014$55m offering Oct 2014
RGDO
0.8533,838,08828,819,900$60m offering April 2014
RGEN
22.8932,693,116748,345,425
RGLS
16.2346,986,699762,594,125
RIGL
2.0786,520,389179,097,205$200m Mar 2012$130m gross proceeds from Oct 2012 offering
RLYP
23.7133,084,868784,442,220$94m Apr 2014 offering
RMTI
9.0143,119,455388,506,290$120m Apr 201212m net proceeds from Mar 2013 offering. $37.7m from May 2013 offering. $55m Nov 2014 offering
RNA
11.4436,078,507412,738,120$150m July 2014
RNN
0.69183,135,194126,363,284$100m Jun 2011$5.3m offering Oct 2013. $20m offering Jan 2014
RPRX
8.7924,800,910217,999,999$100m Juky 2014$10.3m raised from Feb 2012 offering. $75.6m proceeds from Jun 2013 offering
RPTP
9.9563,499,850631,823,508$100m Jan 2012$49.9m cash as of Feb 2012. ATM entered into Apr 2012
RTGN
4.014,960,04019,889,760
RTRX
8.2428,319,989233,356,709$500m Sept 2014
RVNC
16.4623,201,119381,890,419$140.3m offering June 2014
RXDX
6.3119,487,671122,967,204
SAGE
37.2825,661,170956,648,418
SCLN
8.6351,067,983440,716,693$100m Mar 2012
SCMP
11.6844,463,372519,332,185$150m Dec 2012
SCYX
10.008,205,66782,056,670
SGEN
36.85123,051,0774,534,432,187Automatic shelf May 2009
SGMO
11.6767,583,359788,697,800$100m Feb 2012Sept 2013 offering $74m proceeds. March 2013 offering $100m
SGYP
2.8897,280,656280,168,289$250m Jun 2012May 2012 offering raising $57.5m gross proceeds. $87.5m Apr 2013 offering.
SHPG
210.09196,659,72141,316,240,785
SNSS
2.1260,488,069128,234,706$150m Mar 2013$40m Sept 2012 Royalty and Debt Financings. $43m offering Feb 2014
SNTA
3.18105,813,708336,487,591$300m Mar 2013Jan 2012 offering raised $33m. $60M proceeds from Dec 2012 offering. $60m gross proceeds from Nov offering. $50m ATM offering July 2014
SNY
47.152,650,373,191124,965,095,956Automatic shelf March 2013
SOMX
3.007,191,34421,574,032$75m Jun 2010July 2012 offering $2.7m net proceeds
SPEX
1.4829,382,69643,486,390$50m Mar 2013Feb 2012 offering raising $1.1m. $2.6m raised from Nov 2012 private placement and $2.2m in Nov 2013
SPPI
7.2566,304,676480,708,901$250m Nov 2012$100m convertible notes Dec 2013
SQNM
2.90115,744,272335,658,389$150m Dec 2011Jan 2012 offering. Proceeds aprox $58m
SRPT
15.7325,452,785642,937,355Automatic shelf Nov 2012$40m ATM Sep 2012. $118m from Dec offering. $125m ATM offering Jul 2013. $100m offering Apr 2014
SSH
4.6317,186,97679,575,700$75m Mar 2013$40m offering Sep 2013. $40m ATM offering March2014
STEM
1.1669,914,76981,101,132$100m Dec 2013$20m awarded Jun and up to $20m Sep 2012. $18.6m Oct 2013 offering. $27m ATM offering Feb 2014. $STEM $20m offering July 2014
STML
14.0013,348,643186,881,002$150m Feb 2014$69m gross proceeds May 2013 offering
SUPN
8.8843,413,772385,514,295$48m approx gross proceeds Nov 2012 offering. $75m notes Apr 2013
SYN
1.4631,292,52068,843,545$50m Jul 2013$10.8m gross proceeds Oct 2012 financing. $13.23m proceeds from Dec offering. $21m offering Oct 2014
TGTX
14.77$175m May 2013$50m ATM Jun 2013.$40.3m gross proceeds Jul 2013 offering. $18.1m offering Mar 2014
THLD
3.0264,204,868193,898,701$150m Apr 2014Feb 2012 upfront payment $25m + $20m received Apr 2012
THRX
13.97116,534,2141,627,982,970Automatic shelf Jan 2013Jan 2013 $287.5m offering of Convertible Subordinated Notes
TKAI
14.8022,411,986331,697,393
TNXP
7.10$150m July 2014$43.5m offering Jan 2014. $7.8m offering July 2014.
TRGT
2.4234,878,56584,406,127$200m Nov 2013
TRVN
5.4625,271,905137,984,601
TSRO
30.7335,568,7281,093,027,011Automatic Shelf July 2013Feb 2013 offering $91.2m net proceeds. $101m offering Jan 2014
TTHI
6.3434,474,400218,567,696$75m Oct 2009$11m private placement Aug 2013
TTPH
22.0931,060,004686,115,488$125m May 2014$80.6m proceeds from Mar 2013 IPO. $49m offering Nov 2013. $86.3m offering Oct 2014.
UTHR
129.7747,307,5586,139,101,802
VBLT
6.1520,060,455123,371,798
VICL
1.0991,158,97999,363,287$150m May 2012$48.7m from 1Q 2012 offering
VNDA
12.5837,791,455475,416,504$150m Sept 2013$48.3m proceeds Aug 8 2013
VRTX
111.40243,738,86627,152,509,672Automatic shelf Mar 2013
VRX
145.37328,811,38947,799,311,619Automatic shelf Jun 2013$2.3b offering Jun 2013 to fund acquisition of Bausch + Lomb Holdings Incorporated
VSAR
17.9224,856,384445,426,401
VTAE
17.0018,511,106314,688,802
VTL
18.5324,604,457455,920,588
VVUS
3.3996,949,673328,659,391Automatic shelf Sep 2009Mar 2012 offering with $192m proceeds. $200m convertible notes May 2013
XLRN
34.8331,743,8691,105,638,957Automatic shelf Sep 2014$129m proceeds from Jan 2014 offering
XNPT
7.9460,434,974479,853,694$150m Jul 2013$72m Jan 2014 offering
XOMA
4.59106,225,095487,573,186$150m Sept 2013Mar 2012 offering with proceeds of $36.3m. Aug 2013 offering $29.3m proceeds. Dec 2013 offering $53.5m proceeds
ZFGN
20.7222,751,246471,405,817
ZGNX
1.18156,930,939185,178,508$75m Jan 2013July 2012 offering $60.7m net proceeds expected. $25m ATM Mar 2013. $64m offering Nov 2013
ZIOP
3.8698,720,106381,059,609$150m Nov 2011Jan 2012 offering $49.2m.$54m proceeds from offering Oct 2013
ZSPH
40.7519,725,966803,833,115

About the author

Currently residing in New Zealand and employed in the education industry, Mr. A. Burden holds a M.Com in International Business from the University of Sydney and used these skills together with his passion for investing to establish BioPharmCatalyst in June 2010 as a tool for investing decisions in the US pharmaceutical market. He spends much of his free time mountain biking, playing squash and hiking.
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