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        US Stock MarketDetailed Quotes
        RAIN Rain Oncology Watchlist
        1.260 +0.150+13.51% Close 06/02 16:00 ET
        1.240-0.020-1.59% Post 19:59 ET
        1.379High1.200Low7.43MVolume
        Quarterly+Annual
        YOY
        Hide blank lines
        (Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30
        Investing cash flow
        Cash flow from continuing investing activities
        -73.82%3.52M139.92%47.19M-180.92%-17.19M112.53%11.63M184.30%39.32M46,431.03%13.44M-2,177.69%-118.24M60,800.00%21.25M-1,699.86%-92.8M-46.65M
        Net PPE purchase and sale
        ----93.75%-8K---8K--0---------433.33%-128K--0-2,733.33%-85K---14K
        Net intangibles purchase and sale
        ------0--0------------51.62%-2.5M--0--------
        Net investment purchase and sale
        -73.82%3.52M140.83%47.2M-180.88%-17.18M112.89%11.63M184.32%39.32M--13.44M---115.61M--21.25M---90.22M---46.64M
        Cash from discontinued investing activities
        Investing cash flow
        -73.82%3.52M139.92%47.19M-180.92%-17.19M112.53%11.63M184.30%39.32M46,431.03%13.44M-2,177.69%-118.24M60,800.00%21.25M-1,699.86%-92.8M---46.65M
        Financing cash flow
        Cash flow from continuing financing activities
        16.79%466K-56.27%53.18M146,030.56%52.61M162K-99.99%12K146.50%399K75.01%121.62M233.33%36K01,830.88%122.44M
        Net common stock issuance
        --343K-57.53%56.65M377.15%56.65M--0--0--013,336,500.00%133.37M--11.87M--0----
        Proceeds from stock option exercised by employees
        -46.87%212K403.31%609K0.00%36K--162K-85.88%12K--399K152.08%121K--36K--0--85K
        Net other financing activities
        ---89K65.67%-4.08M-----------------7,051.81%-11.87M------------
        Cash from discontinued financing activities
        Financing cash flow
        16.79%466K-56.27%53.18M146,030.56%52.61M--162K-99.99%12K146.50%399K75.01%121.62M233.33%36K--01,830.88%122.44M
        Net cash flow
        Beginning cash position
        150.02%61.96M-57.90%24.78M200.45%39.83M-63.22%43.41M-59.51%21.51M-57.90%24.78M915.93%58.86M-79.08%13.26M1,430.45%118.01M1,507.45%53.11M
        Current changes in cash
        -445.19%-17.86M209.07%37.18M91.99%22.12M96.59%-3.58M-66.25%21.9M43.07%-3.28M-164.22%-34.08M355.02%11.52M-288.17%-104.76M1,372.73%64.9M
        End cash Position
        105.07%44.1M150.02%61.96M150.02%61.96M200.45%39.83M-63.22%43.41M-59.51%21.51M-57.90%24.78M-57.90%24.78M-79.08%13.26M1,430.45%118.01M
        Free cash flow
        -27.64%-21.84M-57.66%-63.21M-36.30%-13.3M-5.67%-15.36M-59.96%-17.43M-249.54%-17.11M-144.13%-40.09M-117.30%-9.76M-93.67%-14.54M-463.50%-10.9M
        Investing cash flow
        Cash flow from continuing investing activities
        -73.82%3.52M139.92%47.19M-180.92%-17.19M112.53%11.63M184.30%39.32M46,431.03%13.44M-2,177.69%-118.24M60,800.00%21.25M-1,699.86%-92.8M-46.65M
        Net PPE purchase and sale
        ----93.75%-8K---8K--0---------433.33%-128K--0-2,733.33%-85K---14K
        Net intangibles purchase and sale
        ------0--0------------51.62%-2.5M--0--------
        Net investment purchase and sale
        -73.82%3.52M140.83%47.2M-180.88%-17.18M112.89%11.63M184.32%39.32M--13.44M---115.61M--21.25M---90.22M---46.64M
        Cash from discontinued investing activities
        Investing cash flow
        -73.82%3.52M139.92%47.19M-180.92%-17.19M112.53%11.63M184.30%39.32M46,431.03%13.44M-2,177.69%-118.24M60,800.00%21.25M-1,699.86%-92.8M---46.65M
        Financing cash flow
        Cash flow from continuing financing activities
        16.79%466K-56.27%53.18M146,030.56%52.61M162K-99.99%12K146.50%399K75.01%121.62M233.33%36K01,830.88%122.44M
        Net common stock issuance
        --343K-57.53%56.65M377.15%56.65M--0--0--013,336,500.00%133.37M--11.87M--0----
        Proceeds from stock option exercised by employees
        -46.87%212K403.31%609K0.00%36K--162K-85.88%12K--399K152.08%121K--36K--0--85K
        Net other financing activities
        ---89K65.67%-4.08M-----------------7,051.81%-11.87M------------
        Cash from discontinued financing activities
        Financing cash flow
        16.79%466K-56.27%53.18M146,030.56%52.61M--162K-99.99%12K146.50%399K75.01%121.62M233.33%36K--01,830.88%122.44M
        Net cash flow
        Beginning cash position
        150.02%61.96M-57.90%24.78M200.45%39.83M-63.22%43.41M-59.51%21.51M-57.90%24.78M915.93%58.86M-79.08%13.26M1,430.45%118.01M1,507.45%53.11M
        Current changes in cash
        -445.19%-17.86M209.07%37.18M91.99%22.12M96.59%-3.58M-66.25%21.9M43.07%-3.28M-164.22%-34.08M355.02%11.52M-288.17%-104.76M1,372.73%64.9M
        End cash Position
        105.07%44.1M150.02%61.96M150.02%61.96M200.45%39.83M-63.22%43.41M-59.51%21.51M-57.90%24.78M-57.90%24.78M-79.08%13.26M1,430.45%118.01M
        Free cash flow
        -27.64%-21.84M-57.66%-63.21M-36.30%-13.3M-5.67%-15.36M-59.96%-17.43M-249.54%-17.11M-144.13%-40.09M-117.30%-9.76M-93.67%-14.54M-463.50%-10.9M
        Currency Unit
        USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
        Accounting Standards
        US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
        Audit Opinions
        --Unqualified Opinion--------Unqualified Opinion------
        Paper Trade Start
        Symbol
        Direction
        Buy
        Sell
        Types
        LMT Order
        Price
        QTY
        Amount
        --