Reata Pharmaceuticals, Inc. Cash on Hand 2016-2023 | RETA

Reata Pharmaceuticals, Inc. cash on hand from 2016 to 2023. Cash on hand can be defined as cash deposits at financial institutions that can immediately be withdrawn at any time, and investments maturing in one year or less that are highly liquid and therefore regarded as cash equivalents and reported with or near cash line items.
Reata Pharmaceuticals, Inc. Annual Cash on Hand
(Millions of US $)
2022 $388
2021 $590
2020 $818
2019 $664
2018 $338
2017 $130
2016 $85
2015 $42
2014 $88
Reata Pharmaceuticals, Inc. Quarterly Cash on Hand
(Millions of US $)
2023-06-30 $330
2023-03-31 $321
2022-12-31 $388
2022-09-30 $436
2022-06-30 $481
2022-03-31 $532
2021-12-31 $590
2021-09-30 $713
2021-06-30 $756
2021-03-31 $778
2020-12-31 $818
2020-09-30 $578
2020-06-30 $610
2020-03-31 $624
2019-12-31 $664
2019-09-30 $240
2019-06-30 $280
2019-03-31 $313
2018-12-31 $338
2018-09-30 $375
2018-06-30 $139
2018-03-31 $106
2017-12-31 $130
2017-09-30 $155
2017-06-30 $65
2017-03-31 $83
2016-12-31 $85
2016-09-30 $96
2016-06-30 $92
2016-03-31 $42
2015-12-31 $42
2015-09-30
2015-06-30
2015-03-31