Financial Database

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

CompanyPriceOutstanding SharesMarket Cap ($)Recent S-3 Shelf filingNotes
AAVL
35.6920,910,245746,286,644
ABIO
1.1620,105,17323,322,000$75m Apr 2014$18m proceeds from May 2013 offering
ACAD
28.0597,947,9172,747,438,99720m 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
11.9595,824,1021,145,098,001$150m Mar 2014$41.8m gross proceeds from Aug 2012 offering. $133.5m proceeds from Feb 2013 offering
ACOR
36.1541,433,1381,497,807,939Automatic shelf registration Jan 2010
ACRX
6.9442,189,524292,795,299$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
0.6348,072,61930,285,750$75m Mar 2013
ADHD
3.6713,005,03547,728,479$100m July 2014$38m gross proceeds Oct 2013 offering
ADMS
15.8717,275,930274,169,009
AEGR
34.2128,312,032968,554,589Automatic shelf filing Feb 2013$47.3m proceeds expected from Jun 2012 offering
AERI
24.7922,984,122569,776,405
AEZS
1.0661,145,73964,814,480$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
4.4424,594,009109,197,400
AGEN
3.0961,259,516189,291,899$150m Mar 2012$12.8m license revenue + 2.8m ATM issuance program both during 1Q 2012
AGRX
7.1818,126,853130,150,801
AKBA
13.1120,077,506263,216,104
ALDR
16.8130,675,397515,653,424
ALDX
7.507,242,46054,318,450
ALIM
6.0243,545,415262,143,397$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
119.31112,253,12913,392,920,800
ALKS
51.29141,051,2947,234,520,998$250m offering Jan 2014
ALNY
94.7273,783,3186,988,755,971Automatic Shelf$173.8m Jan 2013 offering
ALXA
2.5518,052,14246,032,961$40m Jun 2012$20m Common Stock Purchase Agreement July 2012. $6.4m raised May 2013
ALXN
192.93196,053,51037,824,603,684Automatic Shelf
AMAG
33.9621,505,610730,330,516Automatic Shelf Jan 2010$175m convertible notes offering Feb 2014
AMBI
15.4018,023,500277,561,900100m Aug 2014May 2013 IPO
AMPE
3.9050,772,896198,014,294$100m Dec 2013Jul 2012 offering $16,912,545 gross proceeds. $25m proceeds Sept offering
AMRN
0.90174,133,299157,416,500$300m Aug 2014$144.3m from notes Jan 2012. $121m proceeds Jul 2013 offering
ANAC
30.0841,479,0231,247,689,009$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
41.1514,359,749590,903,693
ANTH
1.9023,073,11643,838,920$100m Apr 2013July 2012 offering. Gross proceeds $37,950,000. Jan 2013 offering gross proceeds $40m. $25m ATM Nov 2013
APPY
1.3530,990,02941,836,540$20m Oct 2013Jun 2012 offering. Gross proceeds $12.2m. May 2013 offering $12.5m. April 2014 offering $20m.
APRI
1.5839,308,22762,107,000$100m Dec 2011Feb 2012 offering raising $18.4m +1Q 2012 ATM issuance raising $1.1m
ARDX
19.9118,980,422377,900,199
ARGS
9.6620,388,085196,948,901
ARIA
5.97183,879,0681,097,757,997Automatic Shelf 2011$310m net proceeds Jan 2013 offering
ARNA
4.45210,449,537936,500,400Automatic Shelf May 2012$52.6m in proceeds from sale of common and preferred stock 1Q 2012
ARQL
1.1762,774,10573,445,700$100m Dec 2013Jan 2012 offering raising $46.8m. Also Apr 2012 offering raising $56m
ARRY
3.87129,614,242501,607,102$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
6.7352,672,719354,487,400$200m Feb 2014
ASMB
8.4910,383,70588,157,655$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
27.0427,463,320742,608,173$70m offering July 2014
ASTM
2.9024,195,75170,167,680$100m Jun 2011$37.7m proceeds from March 2012 offering. $8.7m gross proceeds from Aug 2013 offering. $40m Sept 2014 offering
ATHX
1.3950,244,230105,876,60130m 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
1.1923,325,537105,876,601$14m Jan 2014 offering
ATRA
19.7218,497,911364,778,805
ATRS
2.07127,317,250263,546,699$100m Jul 2010Oct 2012 offering $47m proceeds
AUXL
31.8876,170,2171,601,786,010Automatic Shelf Jan 2013Feb 2012 up-front payment of $10,000,000 received from Actelion
AVEO
1.0051,277,23051,277,230$250m Dec 2011$53.8m net proceeds from Jan 2013 offering
AVNR
13.20180,932,8062,388,313,005$100m Aug 2012$230m offering Sept 2014
AZN
72.601,246,785,01290,516,591,871Automatic Shelf 2010
BCRX
12.0670,982,808856,052,694$125m Oct 2013$20m ATM May 2013. $20.2m gross proceeds from Aug 2013 offering. $115m offering May 2014
BDSI
17.7948,163,713856,832,498$40m Jan 2012Jan 2012 $15m milestone payment by Endo.. Apr 2012 - $30m received
BIIB
321.00231,785,45274,403,130,092
BIND
8.9414,488,501129,527,202$100m Oct 2014$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering
BIOD
1.5323,287,59535,630,020$75m May 2013$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering. $15m purchase agreement signed July 2014
BLRX
1.4033,384,07146,737,700$75m Aug 2012$24.1m offering Mar 2014
BLUE
41.2927,473,8441,134,395,003$100m offering July 2014
BMRN
82.36144,242,59211,879,819,877Automatic Shelf May 2012$300m notes offering Oct 2013
BMY
58.9835,685,9742,104,758,747Automatic Shelf Jul 2012
BOTA
2.401,523,217,0353,655,720,884$75m August 2013$26.9m offering Jan 2014
CALA
10.3117,916,255184,716,589
CARA
9.1922,669,435208,332,108
CBRX
6.1910,615,23365,708,293$4m raised through May 2012 offering
CBST
72.5074,807,1455,423,518,013Automatic Shelf Oct 2010
CCXI
5.9642,681,359254,380,901$150m shelf Mar 2013$64.4m proceeds from Apr 2013 offering
CELG
106.94785,260,50283,975,758,084Automatic Shelf Oct 2010
CEMP
13.6930,183,587413,213,293$100m Dec 2013$25m private placement Oct 2012. $54.2m proceeds from Jun 2013 offering
CERS
4.3271,819,696310,261,099$250m Aug 20141Q 2012 $9.2m proceeds through ATM issuance. $40m ATM offering March 2014
CERU
4.7618,433,60687,743,965
CLDN
10.7523,134,484248,695,703$44m Aug 2014 offering
CLDX
17.0288,510,7501,506,453,006$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
2.7518,378,70250,541,430$75m Aug 2012$13.6m proceeds from Feb 2013 offering. $15m January 2014 offering
CLVS
59.1632,861,6801,944,096,984Automatic Shelf Jun 2013Apr 2012 offering raising $70.5m. Jun 2013 offering $240m
CMRX
29.8935,550,1181,062,593,005$200m March 2014$119m offering May 2014
CNAT
7.5515,767,602119,045,398$150m Aug 2014
CNDO
1.7046,918,79379,761,948$200m Jul 2013
CORI
5.5518,195,026100,982,394
CORT
3.4693,232,282322,583,699$100m Mar 2014March 2012 offering raising $12.9m
CPIX
4.9117,362,90185,251,841$100m Sep 2012
CPRX
2.7466,433,941182,028,999$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
1.2788,713,702112,666,400$120m Jul 2013$30m ATM signed Jul 2013
CSII
29.1731,134,258908,186,308$75m Oct 2013$33m net proceeds from Mar 2013 offering. $84.5m Nov 2013 offering
CTIC
2.39152,663,759364,866,400$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
2.8785,627,181245,750,000$100m June 2014Feb 2012 offering with $4.9m. Sep 2013 offering $4.1m proceeds. Oct 2013 $20m ATM. Jan 2014 $19.65m offering
CVM
0.6987,725,25560,091,800$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
3.3523,014,92977,100,010$75m Apr 2013$20.5m gross raised May 2013. $10m offering Apr 2014
CYTK
3.8035,163,711133,622,100$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
2.8456,339,368160,003,800$100m Nov 2013$25.9m proceeds from Oct 2013 offering. $86m offering Jan 2014
DARA
0.8819,418,51117,088,290$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
25.05
DCTH
1.749,343,28716,257,319$100m Aug 2012$21m raised throught ATM during 1Q 2013. New $50m ATM agreement Mar 2013
DEPO
15.3458,324,178894,692,899$100m May 2012
DERM
16.2824,800,939403,759,287
DNDN
1.03160,314,373165,123,800Automatic Shelf Dec 2009
DPRX
10.598,763,61892,806,715
DRNA
9.7217,330,041168,447,999
DRRX
0.74113,858,70184,255,440$200m Mar 2014$11.5m offering Nov 2013
DRTX
24.0026,520,775636,498,600$46.3m proceeds Apr 2013 offering
DSCI
9.0225,472,327229,760,390$75m Dec 2013$80.7m net proceeds Jan 2014 offering
DSCO
1.8684,290,429156,780,199$200m Jun 2011$42.1m proceeds from Mar 2012 offering. May 2013 offering $14.3m gorss proceeds
DVAX
1.69261,325,435441,640,000$150m Jul 2011$50m ATM offering Mar 2013. $133m proceeds from Oct 2013 offering of stock and warrants
DYAX
12.29130,109,9271,599,050,998$150m Oct 2013$30m offering May 2013. $65m offering Oct 2013. $80m offering March 2014
EARS
4.5028,852,022129,834,099
EBS
22.3536,739,404821,125,679$180m May 2012$250 million Convertible Senior Notes due 2021 (Jan 2014)
ECTE
0.5712,404,0187,093,858$75m Aug 2011$12.5 m gross proceeds from Jun 2013 offering
ECYT
6.2239,814,101247,643,700Automatic Shelf March 2014March 2014 offering $95m
EDAP
1.6424,289,40339,834,621$12m offering May 2013
EGLT
7.0516,842,383118,738,800
ENTA
44.1818,616,276822,467,074
ENZN
0.9246,043,90142,360,390
EPZM
27.2432,362,401881,551,796
ESPR
28.6720,098,469576,223,108$150m June 2014$92m Oct 2014 offering
ETRM
1.3464,773,25286,796,160
EVOK
5.945,221,58231,016,197
EXAS
24.8182,433,1342,044,753,914$200m Mar 2013$73m proceeds from Jun 2013 offering. $146.6m offering Apr 2014
EXEL
1.72192,841,276331,687,000Automatic shelf filed Jun 8 2012Feb 2012 $65m raised from offering. $75.6m offering Jan 2014
FATE
4.7420,476,01297,056,292$100m Oct 2014
FLML
13.1438,258,317502,714,299Sept 2012$105m offering Mar 2014
FLXN
19.9015,404,453306,548,615
FOLD
5.6876,484,104434,429,698$145m Jun 2012March 2012 offering $62m proceeds
FOMX
5.4921,553,972118,331,306
FPRX
13.4420,823,758279,767,197$43m offering Feb 2014
FURX
104.7710,816,0051,133,192,808$100m Dec 2013$10m milestone received May 2012 following MAA validation
FWP
20.75
GALE
2.21114,461,084252,958,996$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
GBIM
5.205,646,52329,361,920
GERN
2.21160,474,432354,648,501$200m Jul 2012$97m offering Jan 2014
GEVA
80.0631,951,7112,558,053,985$150m May 2012$115m gross proceeds from Jul 2012 offering. $179m proceeds Sept 2013 offering
GHDX
36.0730,452,2601,098,413,009$10m shares May 2013
GILD
114.221,465,349,310167,372,198,188Automatic shelf filed Mar 2011
GLMD
6.6711,266,87775,150,070
GLYC
7.0018,380,643128,664,501
GNCA
9.0017,408,778156,679,002July 2014 offering
GNVC
1.8816,351,34630,740,530$150m May 2010$24.2m
GSK
45.142,423,584,437109,400,601,486Automatic shelf filed Mar 2011
GTXI
0.6176,014,52346,368,860$100m May 2011$21.3m private placement Mar 2014
GWPH
70.4620,142,6341,419,249,973$60m Dec 2013$101m offering following IPO Jan 2014. $170m offering June 2014
HALO
9.61121,394,0731,166,597,000Automatic shelf Feb 2012$81.5m raised in Feb 2012 from offering. $107.8m raised from Feb 2014 offering
HEB
0.29201,319,34857,637,730$150m Jun 2012
HPTX
24.4319,497,622476,326,911$64.5m net proceeds Mar 2013 offering
HRTX
8.8327,306,33162,453,882$100m May 2014$63m offering June 2014
HTBX
6.406,171,18439,495,578
HZNP
12.75106,463,3731,357,408,006$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
7.6615,783,303120,900,101$90m Sep 2014
ICPT
256.7320,689,0195,311,491,848Automatic 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
2.6283,447,485218,632,411$75m Aug 2010$16.5m from May 2013 offering. $36m from Feb 2014 offering
IMGN
9.4984,869,665805,413,121Automatic shelf May 2011Offering July 2012 6.25m shares priced at $16
IMMU
4.0092,434,600369,738,40020m shares Oct 2012$16.1m gross proceeds from Feb 2013 offering
IMMY
8.718,962,65378,064,708
IMUC
0.7061,028,91042,720,237$50m Sept 2012$17m ATM Apr 2013
INCY
64.18151,854,1449,745,998,962$180m Sept 2009$700m notes Nov 2013
INFI
13.8147,777,160659,802,580$100m Apr 2011$88.4m proceeds from Aug 2012 offering. $172.5m gross proceeds Dec 2012 offering
INNL
6.8218,727,815127,723,698
INO
11.4359,183,612676,468,685$175m July 2014$55m offering Feb 2014
INSM
14.5049,818,703722,371,194$100m May 2013Access to $20m loan Jul 2012. Sept 2012 offering $26m proceeds. Jul 2013 $63m offering. Aug 2014 $115m offering
IPXL
28.6269,636,6511,993,000,952
IRWD
14.17133,358,9271,889,695,996Automatic Shelf Feb 2012$85.2m proceeds from Feb 12 offering. $137.7m proceeds from offering May 2013
ISIS
45.88115,502,8095,299,268,877Automatic 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
169.8259,653,61310,130,376,600Automatic Shelf Jan 2012
JNJ
107.042,781,292,017297,709,497,500Automatic Shelf Feb 2011
KBIO
1.7232,987,81956,739,049$100m Sep 2013$32.1m proceeds from Sept 2013 offering
KERX
16.5790,798,9151,504,538,022$100m Jan 2011$55m Jan 2013 offering. $90m Jan 2014
KITE
35.7438,657,1331,381,605,933
KOOL
1.1041,385,23545,523,759$11.3m offering June 2014
KPTI
40.0532,474,3331,300,597,037$121m offering June 2014
KYTH
36.3721,893,501796,266,631$200m Sep 2014$100m offering Oct 2013
LGND
54.3720,383,2631,108,238,009$30m Oct 2011
LLY
66.801,095,396,95673,172,516,661Automatic Shelf Mar 2013
LMNX
19.1442,587,023815,115,620Automatic Shelf Jun 2008
LPCN
4.4142,587,023187,808,771$100m Oct 2014
LPTN
2.9518,964,03455,943,900$40m Jun 2013$20m ATM Aug 2013. $12.5m offering Sept 2014
LXRX
1.44511,243,382736,190,470$200m Jan 2011Oct 2012 offering $37m approx gross proceeds
MACK
9.28103,573,268961,159,927 Offering - July 2013, of $50 million of its common stock and $75 million of its convertible senior notes
MCUR
7.5115,915,992119,529,100
MDCO
25.6663,859,2371,638,628,021Automatic Shelf Jun 2007$175m gross proceeds from Aug 2013 offering
MDVN
102.7474,404,6937,644,338,159Automatic shelf Mar 2011Mar 2012 -$258.8m from convertible notes
MDWD
5.9421,189,916125,868,101
MEIP
7.9921,499,125171,778,009$50m Apr 2011Apr 2013 offering $15.2m proceeds. $35m proceeds Oct 2013 offering
MELA
1.845,447,15810,022,771$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
20.6727,201,771562,260,607$66m offering Feb 2014
MNKD
6.08401,718,9202,442,451,034$500m Aug 2012$80.6m proceeds from Jan offering. $80m gross proceeds from Oct 2012 offering
MNOV
3.6124,280,19587,651,504$100m Nov 2012
MNTA
10.9952,620,957578,304,317Automatic shelf Apr 2013
MRK
57.312,828,761,056162,116,296,119Automatic shelf Dec 2012
MRNS
7.5413,838,356104,341,204
MSTX
0.52124,919,17064,957,968$150m Mar 2012$22.9m proceeds from Jun 2013 offering. $30m ATM Feb 2014
NAVB
1.36152,851,101207,877,497$100m Apr 2011Gross proceeds $4.8m from Jan 2013 offering. $5.1m gross proceeds from Apr 2013
NBIX
18.4475,034,2171,383,630,961$150m Nov 2012Jan offering $83m proceeds. Feb 2014 offering $142m proceeds
NBS
5.1635,518,935183,277,705$40.35m offering Oct 2013
NBY
0.8050,544,18140,435,345$50m Mar 2012$6.34m approx net proceeds from Dec 2012 offering
NERV
4.3618,735,52981,686,906
NKTR
14.03125,940,8431,766,950,027Automatic 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
33.8828,428,001963,140,674$150m Jan 2013$49m proceeds from Jan 2013 offering. $60m ATM agreement signed Sept 2013
NPSP
28.46101,881,2052,899,539,094$150m Aug 2011$93.4m net proceeds from offering May 2013
NRX
4.368,469,22736,925,830
NSPR
1.6839,145,67465,764,732$75m Oct 2013$40m ATM Oct 2013
NVAX
5.63229,096,2651,289,811,972$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
2.986,966,19820,759,270
NVS
91.952,700,417,708248,303,408,251Automatic shelf Sep 2012
NWBO
5.3857,299,404308,270,794$11.5m offering Oct 2014
NYMX
5.2235,536,936185,502,806
OCRX
5.7018,910,527107,790,004$25m offering July 2014
OCUL
15.0921,051,053317,660,390
OGXI
2.2522,828,00051,363,000$100m Nov 2012Mar 2012 offering raised $53.8m.$25m ATM agreement Jun 2013
OHRP
7.1824,897,271178,762,406$18m offering Apr 2014.
OMER
16.5723,758,105393,671,800$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
0.8278,173,24564,102,061$150m (Canada) Jun 2010 $19.8m proceeds from 1Q 2012 offering. $32m gross proceeds from Feb 2013 offering. $20m ATM Oct 2014
ONTX
4.6577,443,543360,112,475$100m Oct 2014$20m ATM offering Oct 2014
ONTY
1.9277,443,543148,691,603$150m Dec 2011Apr 2012 offering $50.3m proceeds. May 2013 offering $9.8m proceeds. $50m ATM offering Sept 2014
OPHT
41.8132,293,2061,350,178,943Feb 2014 offering approx $60m proceeds
OPK
8.39429,195,9303,600,953,853$250m Feb 2011
OPXA
1.0127,753,16928,030,701$35m Nov 2012$3.25m Feb 2013 offering. $18.975m proceeds from Sept 2013 offering. $8.1m offering Dec 2013
OREX
4.13120,457,987497,491,486$150m Sep 2012Oct 2012 offering $56.5m proceeds. Nov 2013 $100m convertible notes
ORPN
5.5515,794,55187,659,758
OSIR
14.0233,526,696470,044,278
OTIC
25.6221,522,388551,403,581
OXGN
2.3620,880,98449,279,122$50m May 2012$50m May 2012 -includes $10m ATM. $5m private placement Apr 2013. $12m offering Feb 2014
PBMD
1.0042,782,30042,782,300
PBTH
8.2363,854,883525,525,687$75m Apr 2012May 2012 offering expected to yield $35m approx
PBYI
247.4329,730,7417,356,277,246Jan 2014$129m proceeds from Jan 2014 offering
PCRX
91.1141,682,8783,797,727,015$150m Mar 2012Apr 2012 offering with proceeds of $55m. April 2014 offering $100m
PCYC
134.6073,863,4499,942,020,235Automatic shelf Mar 2013$50m milestone payment rec'd Aug 2012
PFE
29.846,266,487,904186,991,999,055Automatic shelf May 2012
PFNX
8.2519,751,042
PFNX
8.2519,751,042162,946,097
PGNX
4.8670,128,105340,822,590$150m Jan 2014Nov 2012 offering $22m gross proceeds.$34.8m proceeds from Jun 2013 offering. $50m ATM offering Jan 2014
PLX
2.25360,008,756810,019,701$150m Jan 2011Feb 2012 offering with $25.4m proceeds. $25m milestone payment received Jun 2012. $69m convertible notes offering Sept 2013
POZN
9.1730,049,760275,556,2998m shares Dec 2011
PPHM
1.56182,957,443285,413,611$100m Dec 2013
PRAN
1.8548,739,93290,168,874$50m May 2011$A7m proceeds from private placement Mar 2013
PRTA
21.3726,837,898573,525,880
PRTO
10.0015,008,900150,089,000
PSDV
4.0929,491,099120,618,595$30m Dec 2012$5.36m offering Aug 2012. $10.8m offering Jul 2013. $19m ATM Dec 2013
PSTI
2.9469,042,856202,985,997$150m Sep 2011$34m net proceeds from Sep 2012 offering
PTCT
40.7332,208,6431,311,858,029$75m offering Feb 2014
PTIE
1.8648,954,12391,054,669$150m Aug 2010
PTLA
28.3547,882,0101,357,454,984May 2013 IPO. $100m proceeds Oct 2013 offering . $161m offering Oct 2014
PTN
0.6238,846,95924,085,115
QLTI
3.9851,342,171204,341,841
QRXPY
0.0732,838,5712,298,700
RARE
49.3332,070,3211,582,028,935Offering July 2014 - APPROX $52M
RCPT
101.7226,361,5022,681,492,016$150m June 2014$117m offering Jan 2014. $178, offering June 2014
RDUS
18.9634,171,948647,900,103$150m Sept 2014$55m offering Oct 2014
RGDO
1.0434,255,54035,625,760$60m offering April 2014
RGEN
25.4931,674,677807,387,517
RGLS
18.3542,753,874784,533,588
RIGL
1.9685,553,111167,684,098$200m Mar 2012$130m gross proceeds from Oct 2012 offering
RLYP
21.2130,486,531646,619,323$94m Apr 2014 offering
RMTI
9.3843,947,324412,225,899$120m Apr 201212m net proceeds from Mar 2013 offering. $37.7m from May 2013 offering
RNA
10.7336,806,879394,937,812$150m July 2014
RNN
0.73180,794,518131,979,998$100m Jun 2011$5.3m offering Oct 2013. $20m offering Jan 2014
RPRX
6.7522,048,133148,824,898$100m Juky 2014$10.3m raised from Feb 2012 offering. $75.6m proceeds from Jun 2013 offering
RPTP
11.0161,888,064681,387,585$100m Jan 2012$49.9m cash as of Feb 2012. ATM entered into Apr 2012
RTGN
4.284,748,16620,322,150
RTRX
9.5326,597,524253,474,404$500m Sept 2014
RVNC
19.6223,122,267453,658,879$140.3m offering June 2014
RXDX
6.8519,551,008133,924,405
SAGE
39.0625,428,870993,251,662
SCLN
7.8951,338,898405,063,905$100m Mar 2012
SCMP
8.6642,657,172369,411,110$150m Dec 2012
SCYX
9.008,029,71972,267,471
SGEN
35.25123,517,9014,354,006,010Automatic shelf May 2009
SGMO
11.9168,174,233811,955,115$100m Feb 2012Sept 2013 offering $74m proceeds. March 2013 offering $100m
SGYP
3.5890,558,382324,199,008$250m Jun 2012May 2012 offering raising $57.5m gross proceeds. $87.5m Apr 2013 offering.
SHPG
199.42194,323,39038,751,970,434
SNSS
1.7060,087,410102,148,597$150m Mar 2013$40m Sept 2012 Royalty and Debt Financings. $43m offering Feb 2014
SNTA
3.01102,635,748308,933,601$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
45.702,630,787,702120,226,997,981Automatic shelf March 2013
SOMX
3.007,191,34421,574,032$75m Jun 2010July 2012 offering $2.7m net proceeds
SPEX
1.2229,741,68836,284,859$50m Mar 2013Feb 2012 offering raising $1.1m. $2.6m raised from Nov 2012 private placement and $2.2m in Nov 2013
SPPI
7.6564,443,097492,989,692$250m Nov 2012$100m convertible notes Dec 2013
SQNM
3.29113,834,804374,516,505$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
4.8820,360,69799,360,200$75m Mar 2013$40m offering Sep 2013. $40m ATM offering March2014
STEM
1.2168,070,51982,365,328$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
16.5212,495,744206,429,691$150m Feb 2014$69m gross proceeds May 2013 offering
SUPN
8.0541,055,229330,494,593$48m approx gross proceeds Nov 2012 offering. $75m notes Apr 2013
SYN
1.5731,292,52068,843,545$50m Jul 2013$10.8m gross proceeds Oct 2012 financing. $13.23m proceeds from Dec offering. $21m offering Oct 2014
TGTX
11.16$175m May 2013$50m ATM Jun 2013.$40.3m gross proceeds Jul 2013 offering. $18.1m offering Mar 2014
THLD
2.9858,569,194174,536,198$150m Apr 2014Feb 2012 upfront payment $25m + $20m received Apr 2012
THRX
16.21111,679,4021,810,323,106Automatic shelf Jan 2013Jan 2013 $287.5m offering of Convertible Subordinated Notes
TKAI
15.5922,209,461346,245,497
TNXP
8.00$150m July 2014$43.5m offering Jan 2014. $7.8m offering July 2014.
TRGT
2.3833,651,74280,091,146$200m Nov 2013
TRVN
5.4126,311,905142,347,406
TSPT
1.7119,497,53833,340,790$75m Apr 2013
TSRO
28.7034,598,929992,989,262Automatic Shelf July 2013Feb 2013 offering $91.2m net proceeds. $101m offering Jan 2014
TTHI
6.4231,887,601204,718,398$75m Oct 2009$11m private placement Aug 2013
TTPH
25.1928,896,474727,902,180$125m May 2014$80.6m proceeds from Mar 2013 IPO. $49m offering Nov 2013. $86.3m offering Oct 2014.
UTHR
130.4347,570,8386,204,664,400
VBLX
VICL
1.2188,604,212107,211,097$150m May 2012$48.7m from 1Q 2012 offering
VNDA
12.1233,481,518405,795,998$150m Sept 2013$48.3m proceeds Aug 8 2013
VRTX
110.85236,062,61026,167,540,319Automatic shelf Mar 2013
VRX
131.51331,306,98743,570,181,860Automatic shelf Jun 2013$2.3b offering Jun 2013 to fund acquisition of Bausch + Lomb Holdings Incorporated
VSAR
20.0023,214,920464,298,400
VTAE
13.6215,751,586214,536,601
VTL
18.0423,593,048425,618,586
VVUS
3.36103,922,563349,179,812Automatic shelf Sep 2009Mar 2012 offering with $192m proceeds. $200m convertible notes May 2013
XLRN
38.2428,886,7931,104,630,964Automatic shelf Sep 2014$129m proceeds from Jan 2014 offering
XNPT
6.9161,131,217422,416,709$150m Jul 2013$72m Jan 2014 offering
XOMA
4.57104,265,510476,493,381$150m Sept 2013Mar 2012 offering with proceeds of $36.3m. Aug 2013 offering $29.3m proceeds. Dec 2013 offering $53.5m proceeds
ZFGN
21.3422,345,234476,847,294
ZGNX
1.28144,350,628184,768,804$75m Jan 2013July 2012 offering $60.7m net proceeds expected. $25m ATM Mar 2013. $64m offering Nov 2013
ZIOP
3.0699,096,767303,236,107$150m Nov 2011Jan 2012 offering $49.2m.$54m proceeds from offering Oct 2013
ZSPH
36.4520,630,288751,973,998

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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