Financial Database

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

CompanyPriceOutstanding SharesMarket Cap ($)Recent S-3 Shelf filingNotes
ABIO
1.6921,001,69035,492,857$75m Apr 2014$18m proceeds from May 2013 offering
ACAD
20.1498,462,6181,983,037,06620m 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
3.0896,794,082298,125,765$150m Mar 2014$41.8m gross proceeds from Aug 2012 offering. $133.5m proceeds from Feb 2013 offering
ACOR
35.2541,310,8191,456,206,370Automatic shelf registration Jan 2010
ACRX
10.8943,039,269468,697,654$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
1.3748,847,98266,921,736$75m Mar 2013
ADHD
17.8013,636,709242,733,410$38m gross proceeds Oct 2013 offering
AEGR
43.9229,411,0741,291,734,316Automatic shelf filing Feb 2013$47.3m proceeds expected from Jun 2012 offering
AERI
16.2123,316,653377,962,924
AEZS
1.1556,513,96964,991,063$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
AGEN
2.6662,173,299165,380,981$150m Mar 2012$12.8m license revenue + 2.8m ATM issuance program both during 1Q 2012
ALIM
6.1140,302,183246,246,344$75m May 2011 July 2012 $40 million Series A Convertible Preferred Stock (Series A Preferred) financing. $37.5m proceeds Jan 2014 private placement
ALIOF
99.12118,370,90211,732,923,800
ALKS
46.77144,185,2936,743,546,220$250m offering Jan 2014
ALNY
54.3263,916,8143,471,961,317Automatic Shelf$173.8m Jan 2013 offering
ALXA
4.3317,283,05374,835,618$40m Jun 2012$20m Common Stock Purchase Agreement July 2012. $6.4m raised May 2013
ALXN
152.23197,830,37630,115,718,138Automatic Shelf
AMAG
18.3621,877,192401,665,245Automatic Shelf Jan 2010$175m convertible notes offering Feb 2014
AMBI
7.1017,973,315127,610,537May 2013 IPO
AMPE
5.7851,916,172300,075,474$100m Dec 2013Jul 2012 offering $16,912,545 gross proceeds. $25m proceeds Sept offering
AMRN
1.62172,440,210279,353,141$150m Nov 2010$144.3m from notes Jan 2012. $121m proceeds Jul 2013 offering
ANAC
16.8341,838,760704,146,328$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
40.9114,324,920586,032,475
ANTH
2.9420,022,73358,866,836$100m Apr 2013July 2012 offering. Gross proceeds $37,950,000. Jan 2013 offering gross proceeds $40m. $25m ATM Nov 2013
APPY
2.1930,593,95067,000,752$20m Oct 2013Jun 2012 offering. Gross proceeds $12.2m. May 2013 offering $12.5m. April 2014 offering $20m.
APRI
2.3837,872,68290,136,987$100m Dec 2011Feb 2012 offering raising $18.4m +1Q 2012 ATM issuance raising $1.1m
ARIA
7.50186,323,3961,397,425,470Automatic Shelf 2011$310m net proceeds Jan 2013 offering
ARNA
6.16219,259,9951,350,641,536Automatic Shelf May 2012$52.6m in proceeds from sale of common and preferred stock 1Q 2012
ARQL
1.6862,381,085104,800,220$100m Dec 2013Jan 2012 offering raising $46.8m. Also Apr 2012 offering raising $56m
ARRY
3.80125,456,275476,733,839$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
12.8145,327,152580,640,836$200m Feb 2014
ASTM
4.366,187,92726,979,363$100m Jun 2011$37.7m proceeds from March 2012 offering. $8.7m gross proceeds from Aug 2013 offering
ATHX
2.9450,253,317225,303,07730m 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
1.2924,428,568225,303,077$14m Jan 2014 offering
ATRS
2.94129,938,017382,017,777$100m Jul 2010Oct 2012 offering $47m proceeds
AUXL
27.5376,633,6981,383,473,852Automatic Shelf Jan 2013Feb 2012 up-front payment of $10,000,000 received from Actelion
AVEO
1.3351,793,60568,885,497$250m Dec 2011$53.8m net proceeds from Jan 2013 offering
AVNR
3.47152,296,065528,467,350$100m Aug 2012
AZN
67.781,261,295,53485,490,611,295Automatic Shelf 2010
BCRX
8.5559,949,212512,565,774$125m Oct 2013$20m ATM May 2013. $20.2m gross proceeds from Aug 2013 offering
BDSI
8.6647,947,817415,228,088$40m Jan 2012Jan 2012 $15m milestone payment by Endo.. Apr 2012 - $30m received
BIIB
306.75236,393,93072,513,838,028
BIND
10.0916,441,972165,899,500$75m May 2013$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering
BIOD
2.4621,075,87051,846,641$75m May 2013$14m ATM May 2013. $18.3m net proceeds Jun 2013 offering
BLRX
2.1034,287,04872,002,800$75m Aug 2012$24.1m offering Mar 2014
BLUE
20.2424,169,543489,191,545
BMRN
59.19143,623,2248,501,058,629Automatic Shelf May 2012$300m notes offering Oct 2013
BMTI
0.0028,225,241268,234,900$150m Aug 2012
BMY
50.9535,060,9111,786,353,415Automatic Shelf Jul 2012
BOTA
5.581,656,972,4939,245,906,511$75m August 2013$26.9m offering Jan 2014
CADX
0.0089,183,9601,246,792,300$150m Apr 2011
CBRX
6.7212,155,46181,684,695$4m raised through May 2012 offering
CBST
66.3874,798,2504,965,107,835Automatic Shelf Oct 2010
CCXI
5.8043,172,171250,398,600$150m shelf Mar 2013$64.4m proceeds from Apr 2013 offering
CELG
144.82406,020,07958,799,827,841Automatic Shelf Oct 2010
CEMP
9.9233,200,341329,347,385$100m Dec 2013$25m private placement Oct 2012. $54.2m proceeds from Jun 2013 offering
CERS
4.6372,149,000334,049,878$150m Jan 20121Q 2012 $9.2m proceeds through ATM issuance. $40m ATM offering March 2014
CHTP
5.0578,433,916396,091,291$100m Jan 2012Jan 2012 offering raising $22.1m. $21.4m proceeds from Nov 2013 offering
CLDX
14.7189,357,8431,314,453,874$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
3.4417,215,47559,221,235$75m Aug 2012$13.6m proceeds from Feb 2013 offering. $15m January 2014 offering
CLVS
53.5033,897,3211,813,506,674Automatic Shelf Jun 2013Apr 2012 offering raising $70.5m. Jun 2013 offering $240m
CMRX
20.0426,762,934536,329,222
CNAT
6.3915,632,00099,888,478
CNDO
1.8344,200,00080,886,000$200m Jul 2013
CORT
4.02100,689,263404,770,835$100m May 2011March 2012 offering raising $12.9m
CPIX
4.4717,868,04979,870,175$100m Sep 2012
CPRX
2.0865,470,633136,178,912$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
2.3185,948,078198,540,055$120m Jul 2013$30m ATM signed Jul 2013
CRTX
0.0026,902,898#N/A$94.95m May 2011
CSII
27.3229,779,548813,577,242$75m Oct 2013$33m net proceeds from Mar 2013 offering. $84.5m Nov 2013 offering
CTIC
3.18149,618,307475,786,226$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
4.1286,218,421355,219,885$50m Aug 2013Feb 2012 offering with $4.9m. Sep 2013 offering $4.1m proceeds. Oct 2013 $20m ATM. Jan 2014 $19.65m offering
CVM
1.2767,061,57185,168,194$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
CYCC
3.4222,676,47577,553,546$75m Apr 2013$20.5m gross raised May 2013. $10m offering Apr 2014
CYTK
11.9236,078,367430,057,750$100m Nov 2011$2.8m raised through ATM issuance during 1Q 2012. $60m gross proceeds expected from Jun 2012 offering. $37m offering Feb 2014
CYTR
3.1455,564,364174,749,924$100m Nov 2013$25.9m proceeds from Oct 2013 offering. $86m offering Jan 2014
DARA
1.888,402,03015,795,816$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
DCTH
3.839,419,46536,076,550$100m Aug 2012$21m raised throught ATM during 1Q 2013. New $50m ATM agreement Mar 2013
DEPO
13.2157,788,318763,383,683$100m May 2012
DNDN
2.67158,975,190424,463,769Automatic Shelf Dec 2009
DRRX
1.35110,390,501149,027,179$200m Mar 2014$11.5m offering Nov 2013
DRTX
13.2926,640,309354,049,706$46.3m proceeds Apr 2013 offering
DSCI
9.8625,139,243247,872,936$75m Dec 2013$80.7m net proceeds Jan 2014 offering
DSCO
1.9684,696,919166,005,964$200m Jun 2011$42.1m proceeds from Mar 2012 offering. May 2013 offering $14.3m gorss proceeds
DVAX
1.58262,855,958415,312,425$150m Jul 2011$50m ATM offering Mar 2013. $133m proceeds from Oct 2013 offering of stock and warrants
DYAX
6.84135,777,869928,720,645$150m Oct 2013$30m offering May 2013. $65m offering Oct 2013. $80m offering March 2014
EBS
26.5037,303,029988,530,269$180m May 2012$250 million Convertible Senior Notes due 2021 (Jan 2014)
ECTE
3.2011,967,41438,295,725$75m Aug 2011$12.5 m gross proceeds from Jun 2013 offering
ECYT
19.1441,330,509791,065,917Automatic Shelf March 2014March 2014 offering $95m
EDAP
3.0821,789,67067,112,182$12m offering May 2013
ENDP
62.02151,771,7509,412,883,935
ENMD
1.9427,040,42952,458,434$30m Sep 2012$10m proceeds from issuance of convertible notes and warrants Feb 2012
ENTA
36.9618,363,436678,712,595
ENZN
1.0444,093,82045,857,571
EPZM
23.3531,617,947738,279,075
ESPR
14.6815,394,226225,987,242
ETRM
1.8566,568,937123,152,535
EXAS
13.2071,071,838938,148,248$200m Mar 2013$73m proceeds from Jun 2013 offering. $146.6m offering Apr 2014
EVOK
9.786,096,75259,626,233
EXEL
3.45194,684,040671,659,947Automatic shelf filed Jun 8 2012Feb 2012 $65m raised from offering. $75.6m offering Jan 2014
FATE
6.9920,435,676142,845,371
FLML
11.5025,415,400292,277,100Sept 2012$105m offering Mar 2014
FOLD
1.8562,263,325115,187,153$145m Jun 2012March 2012 offering $62m proceeds
FPRX
14.6121,357,363312,031,066$43m offering Feb 2014
FURX
81.1910,805,611877,307,583$100m Dec 2013$10m milestone received May 2012 following MAA validation
GALE
2.29117,879,459269,943,961$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
GERN
2.00156,898,895313,797,790$200m Jul 2012$97m offering Jan 2014
GEVA
86.4032,055,4192,769,588,200$150m May 2012$115m gross proceeds from Jul 2012 offering. $179m proceeds Sept 2013 offering
GHDX
26.7631,183,620834,473,678$10m shares May 2013
GILD
73.861,537,642,000113,570,238,120Automatic shelf filed Mar 2011
GNVC
2.6217,269,96245,247,298$150m May 2010$24.2m
GSK
55.142,428,629,590133,914,635,593Automatic shelf filed Mar 2011
GTXI
1.4075,161,437105,226,010$100m May 2011$21.3m private placement Mar 2014
GWPH
69.3214,793,4411,025,481,326$60m Dec 2013$101m offering following IPO Jan 2014
HALO
7.59124,483,469944,829,549Automatic shelf Feb 2012$81.5m raised in Feb 2012 from offering. $107.8m raised from Feb 2014 offering
HEB
0.36179,340,42664,562,556$150m Jun 2012
HPTX
25.6120,179,819516,805,177$64.5m net proceeds Mar 2013 offering
HTBX
6.006,452,34138,714,046
HZNP
14.4068,563,819987,318,994$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
ICPT
263.3020,119,6575,297,505,688Automatic shelf Apr 2014$62m proceeds from Jun 2013 offering
IDIX
5.53150,803,971833,945,960200m Feb 2014Aug 2012 offering $190.6m net proceeds. $106.7m Jan 2014 offering
IDRA
3.3182,360,165272,612,146$75m Aug 2010$16.5m from May 2013 offering. $36m from Feb 2014 offering
IMGN
13.9085,672,7161,190,850,752Automatic shelf May 2011Offering July 2012 6.25m shares priced at $16
IMMU
4.1583,297,797345,685,85820m shares Oct 2012$16.1m gross proceeds from Feb 2013 offering
IMMY
7.289,085,71566,144,005
IMUC
1.2357,565,70470,805,816$50m Sept 2012$17m ATM Apr 2013
INCY
46.96165,536,6327,773,600,239$180m Sept 2009$700m notes Nov 2013
INFI
9.9748,281,015481,361,720$100m Apr 2011$88.4m proceeds from Aug 2012 offering. $172.5m gross proceeds Dec 2012 offering
INO
2.61240,146,343626,781,955$125m Jan 2014$55m offering Feb 2014
INSM
14.5139,268,885569,791,521$100m May 2013Access to $20m loan Jul 2012. Sept 2012 offering $26m proceeds. Jul 2013 $63m offering
IPXL
26.2770,069,0981,840,715,204
IRWD
11.78121,165,1301,427,325,231Automatic Shelf Feb 2012$85.2m proceeds from Feb 12 offering. $137.7m proceeds from offering May 2013
ISIS
35.20117,270,2254,127,911,920Automatic 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
29.8198,880,3092,947,622,011$300m Jun 2013$85m Jan offering. $91.5m proceeds Nov 2013 offering
JAZZ
143.9158,669,2438,443,090,800Automatic Shelf Jan 2012
JNJ
100.222,828,901,694283,512,527,773Automatic Shelf Feb 2011
KBIO
2.4032,981,39679,155,350$100m Sep 2013$32.1m proceeds from Sept 2013 offering
KERX
13.7990,912,0231,253,676,797$100m Jan 2011$55m Jan 2013 offering. $90m Jan 2014
KPTI
28.1629,753,726837,864,924
KYTH
35.7822,656,603810,653,255$100m offering Oct 2013
LGND
69.1820,614,5241,426,112,770$30m Oct 2011
LLY
59.561,119,757,28866,692,744,073Automatic Shelf Mar 2013
LMNX
17.3242,521,738736,476,502Automatic Shelf Jun 2008
LPTN
4.4916,093,14572,258,221$40m Jun 2013$20m ATM Aug 2013.
LXRX
1.60513,790,361822,064,578$200m Jan 2011Oct 2012 offering $37m approx gross proceeds
MACK
4.92103,251,792507,998,817 Offering - July 2013, of $50 million of its common stock and $75 million of its convertible senior notes
MDCO
25.0164,675,6621,617,538,307Automatic Shelf Jun 2007$175m gross proceeds from Aug 2013 offering
MDVN
60.0476,334,0124,583,094,080Automatic shelf Mar 2011Mar 2012 -$258.8m from convertible notes
MEIP
9.0721,495,071194,960,294$50m Apr 2011Apr 2013 offering $15.2m proceeds. $35m proceeds Oct 2013 offering
MELA
0.5752,107,46529,701,255$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
20.6527,471,329567,282,944$66m offering Feb 2014
MNKD
6.36385,850,7582,454,010,821$500m Aug 2012$80.6m proceeds from Jan offering. $80m gross proceeds from Oct 2012 offering
MNOV
1.9924,070,94347,901,177$100m Nov 2012
MNTA
11.4952,357,000601,581,930Automatic shelf Apr 2013
MRK
57.502,940,622,461169,085,791,508Automatic shelf Dec 2012
MSTX
0.63113,607,83471,572,935$150m Mar 2012$22.9m proceeds from Jun 2013 offering. $30m ATM Feb 2014
NAVB
1.73149,702,543258,985,399$100m Apr 2011Gross proceeds $4.8m from Jan 2013 offering. $5.1m gross proceeds from Apr 2013
NBIX
13.7875,858,6811,045,332,624$150m Nov 2012Jan offering $83m proceeds. Feb 2014 offering $142m proceeds
NBS
6.9028,600,000197,340,000$40.35m offering Oct 2013
NBY
1.0645,407,46148,131,909$50m Mar 2012$6.34m approx net proceeds from Dec 2012 offering
NKTR
11.96126,645,2851,514,677,609Automatic 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
22.9227,861,429638,583,953$150m Jan 2013$49m proceeds from Jan 2013 offering. $60m ATM agreement signed Sept 2013
NPSP
25.88103,264,2602,672,479,049$150m Aug 2011$93.4m net proceeds from offering May 2013
NSPR
2.4034,925,92083,822,208$75m Oct 2013$40m ATM Oct 2013
NVAX
4.17209,056,800871,766,856$200m Apr 2013$7.9m raised through ATM issuance 1Q 2012. $12.2m offering May 2012. $92.6m proceeds Sept 2013 offering
NVGN
3.935,531,04121,736,991
NVS
86.172,426,084,308209,055,684,820Automatic shelf Sep 2012
NWBO
6.0056,011,501336,069,006
NYMX
5.2434,865,673182,696,127
OCRX
9.0915,453,448140,471,842
OGXI
10.4314,718,610153,515,102$100m Nov 2012Mar 2012 offering raised $53.8m.$25m ATM agreement Jun 2013
OHRP
9.7723,600,540230,577,276$18m offering Apr 2014.
OMER
11.8533,859,508401,235,170$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
OMTH
0.0021,121,0440
ONCY
1.5484,803,818130,597,880$150m (Canada) Jun 2010 $19.8m proceeds from 1Q 2012 offering. $32m gross proceeds from Feb 2013 offering
ONTY
2.8870,731,199203,705,853$150m Dec 2011Apr 2012 offering $50.3m proceeds. May 2013 offering $9.8m proceeds
OPHT
35.1133,318,5751,169,815,168Feb 2014 offering approx $60m proceeds
OPK
8.16412,922,8643,369,450,570$250m Feb 2011
OPTR
0.0048,899,7170$200m Nov 2011$20m upfront payment received Apr 2012
OPXA
1.6327,546,05844,900,075$35m Nov 2012$3.25m Feb 2013 offering. $18.975m proceeds from Sept 2013 offering. $8.1m offering Dec 2013
OREX
5.54111,538,679617,924,282$150m Sep 2012Oct 2012 offering $56.5m proceeds. Nov 2013 $100m convertible notes
OSIR
12.9934,221,412444,536,142
OXGN
3.2415,236,06949,364,864$50m May 2012$50m May 2012 -includes $10m ATM. $5m private placement Apr 2013. $12m offering Feb 2014
PATH
0.0031,329,1790$100m Dec 2012$28m private placement Sep 2012
PBMD
1.0242,563,13743,414,400
PBTH
8.2363,854,883525,525,687$75m Apr 2012May 2012 offering expected to yield $35m approx
PBYI
77.8330,117,8192,344,069,853Jan 2014$129m proceeds from Jan 2014 offering
PCRX
68.3035,236,4422,406,648,989$150m Mar 2012Apr 2012 offering with proceeds of $55m. April 2014 offering $100m
PCYC
93.6175,025,0907,023,098,675Automatic shelf Mar 2013$50m milestone payment rec'd Aug 2012
PFE
30.926,393,528,966197,687,915,629Automatic shelf May 2012
PGNX
3.7269,575,404258,820,503$150m Jan 2014Nov 2012 offering $22m gross proceeds.$34.8m proceeds from Jun 2013 offering. $50m ATM offering Jan 2014
PLX
4.1793,580,464390,230,535$150m Jan 2011Feb 2012 offering with $25.4m proceeds. $25m milestone payment received Jun 2012. $69m convertible notes offering Sept 2013
POZN
9.2230,761,244283,618,6708m shares Dec 2011
PPHM
1.84176,481,054324,725,139$100m Dec 2013
PRAN
2.0441,648,11084,962,144$50m May 2011$A7m proceeds from private placement Mar 2013
PRTA
36.9521,903,030809,316,959
PSDV
3.6729,154,398106,996,641$30m Dec 2012$5.36m offering Aug 2012. $10.8m offering Jul 2013. $19m ATM Dec 2013
PSTI
3.6467,815,237246,847,463$150m Sep 2011$34m net proceeds from Sep 2012 offering
PTCT
18.8030,076,773565,443,332$75m offering Feb 2014
PTIE
5.6945,510,038258,952,116$150m Aug 2010
PTLA
24.9941,029,0431,025,315,785May 2013 IPO. $100m proceeds Oct 2013 offering
PTN
1.2839,241,65550,229,318
QCOR
80.0760,583,6184,850,930,29321m shares May 2011
QLTI
5.9051,081,878301,383,080
QRXPY
0.56199,492,143111,715,600
RCPT
36.7222,167,603813,994,373$117m offering Jan 2014
RGDO
7.0033,329,751233,308,257$60m offering April 2014
RGEN
15.8432,039,883507,511,747
RIGL
3.2187,531,317280,975,528$200m Mar 2012$130m gross proceeds from Oct 2012 offering
RLYP
25.0333,844,979847,139,824$94m Apr 2014 offering
RMTI
10.3340,772,476421,179,677$120m Apr 201212m net proceeds from Mar 2013 offering. $37.7m from May 2013 offering
RNA
5.9035,902,298211,823,558
RNN
1.04176,641,135183,706,780$100m Jun 2011$5.3m offering Oct 2013. $20m offering Jan 2014
RPRX
17.5123,028,332403,226,093$100m Oct 2012$10.3m raised from Feb 2012 offering. $75.6m proceeds from Jun 2013 offering
RPTP
8.2762,479,286516,703,695$100m Jan 2012$49.9m cash as of Feb 2012. ATM entered into Apr 2012
SCLN
4.6751,957,936242,643,561$100m Mar 2012
SCMP
6.7643,998,430297,429,387$150m Dec 2012
SGEN
39.79123,109,3924,898,522,708Automatic shelf May 2009
SGMO
14.0266,688,336934,970,471$100m Feb 2012Sept 2013 offering $74m proceeds. March 2013 offering $100m
SGYP
4.4193,567,673412,633,438$250m Jun 2012May 2012 offering raising $57.5m gross proceeds. $87.5m Apr 2013 offering.
SHPG
164.20199,166,66732,703,166,721
SNSS
5.3660,094,843322,108,358$150m Mar 2013$40m Sept 2012 Royalty and Debt Financings. $43m offering Feb 2014
SNTA
4.1991,632,720383,941,097$300m Mar 2013Jan 2012 offering raised $33m. $60M proceeds from Dec 2012 offering. $60m gross proceeds from Nov offering
SNTS
0.0067,128,9490$75m Nov 2011
SNY
53.172,664,190,904141,655,030,366Automatic shelf March 2013
SOMX
3.007,191,34421,574,032$75m Jun 2010July 2012 offering $2.7m net proceeds
SPEX
1.827,846,10614,279,913$50m Mar 2013Feb 2012 offering raising $1.1m. $2.6m raised from Nov 2012 private placement and $2.2m in Nov 2013
SPPI
7.1865,287,782468,766,275$250m Nov 2012$100m convertible notes Dec 2013
SQNM
2.80116,298,000325,634,400$150m Dec 2011Jan 2012 offering. Proceeds aprox $58m
SRPT
38.9125,452,785642,937,355Automatic shelf Nov 2012$40m ATM Sep 2012. $118m from Dec offering. $125m ATM offering Jul 2013. $100m offering Apr 2014
SSH
5.7216,638,98695,175,000$75m Mar 2013$40m offering Sep 2013. $40m ATM offering March2014
STEM
1.2955,419,11671,490,660$100m Dec 2013$20m awarded Jun and up to $20m Sep 2012. $18.6m Oct 2013 offering. $27m ATM offering Feb 2014
STML
16.1713,199,254213,431,937$150m Feb 2014$69m gross proceeds May 2013 offering
SUPN
8.0642,044,197338,876,228$48m approx gross proceeds Nov 2012 offering. $75m notes Apr 2013
SYN
2.9131,292,52068,843,545$50m Jul 2013$10.8m gross proceeds Oct 2012 financing. $13.23m proceeds from Dec offering
TELK
1.374,583,0966,278,842$25m Aug 2011
TGTX
5.164,583,09623,648,775$175m May 2013$50m ATM Jun 2013.$40.3m gross proceeds Jul 2013 offering. $18.1m offering Mar 2014
THLD
4.1359,346,025245,099,083$150m Apr 2014Feb 2012 upfront payment $25m + $20m received Apr 2012
THRX
27.07111,516,0003,018,738,120Automatic shelf Jan 2013Jan 2013 $287.5m offering of Convertible Subordinated Notes
TNXP
10.02$43.5m offering Jan 2014
TRGT
4.2533,784,589143,584,503$200m Nov 2013
TSPT
2.9918,842,88856,340,235$75m Apr 2013
TSRO
25.3735,989,948913,064,981Automatic Shelf July 2013Feb 2013 offering $91.2m net proceeds. $101m offering Jan 2014
TSRX
0.0048,268,5570$100m Sep 2011Obtained a committed equity financing Aug 2012 where may sell up to $25 million in stock. $34.1m proceeds from Jan 2013 offering
TTHI
5.5431,966,135177,092,388$75m Oct 2009$11m private placement Aug 2013
TTPH
10.0825,790,396259,967,192$45m Nov 2013$80.6m proceeds from Mar 2013 IPO. $49m offering Nov 2013
UTHR
93.6350,477,0714,726,168,158
VICL
1.2186,816,728105,048,241$150m May 2012$48.7m from 1Q 2012 offering
VNDA
14.6133,866,539494,790,135$150m Sept 2013$48.3m proceeds Aug 8 2013
VPHM
0.0065,863,0210Automatic shelf Dec 2008
VRTX
66.92236,112,59715,800,654,991Automatic shelf Mar 2013
VRX
133.23333,413,07744,420,624,249Automatic shelf Jun 2013$2.3b offering Jun 2013 to fund acquisition of Bausch + Lomb Holdings Incorporated
VTUS
1.1123,396,25925,969,847$100m Jan 2012Gross proceeds $22.2m from Jan 2013 offering. $25m ATM 2013
VVUS
5.12103,161,000528,184,320Automatic shelf Sep 2009Mar 2012 offering with $192m proceeds. $200m convertible notes May 2013
WCRX
0.00251,139,1940Automatic shelf Nov 2012
XLRN
33.4231,160,2741,041,376,357$129m proceeds from Jan 2014 offering
XNPT
4.4260,004,125265,218,233$150m Jul 2013$72m Jan 2014 offering
XOMA
4.30106,571,513458,257,506$150m Sept 2013Mar 2012 offering with proceeds of $36.3m. Aug 2013 offering $29.3m proceeds. Dec 2013 offering $53.5m proceeds
ZGNX
2.81139,539,151392,105,014$75m Jan 2013July 2012 offering $60.7m net proceeds expected. $25m ATM Mar 2013. $64m offering Nov 2013
ZIOP
3.66100,556,625368,037,248$150m Nov 2011Jan 2012 offering $49.2m.$54m proceeds from offering Oct 2013
ZLCS
1.1726,090,00030,525,300$75m Aug 20121Q 2012 offering raising $14.5m. $25m purchase agreement May 2013

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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