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Shareholders' Deficit (Tables)
6 Months Ended
Jun. 30, 2022
Stockholders' Equity Note [Abstract]  
Schedule of changes in shareholders' equity (deficit)
Changes in shareholders’ deficit for the three and six months ended June 30, 2022 were as follows:
Common Shares
SharesAmountAdditional Paid-in CapitalAccumulated DeficitAccumulated Other Comprehensive IncomeBiohaven Shareholders' Equity (Deficit)Non-controlling InterestsTotal Shareholders' Equity (Deficit)
Balances as of December 31, 202166,933,531 $1,676,792 $169,656 $(2,585,755)$(73)$(739,380)$(3,629)$(743,009)
Repurchase of preferred shares in consolidated subsidiary1,232,629 152,673 (92,673)60,000 60,000 
Issuance of common shares as payment for agreements2,037,921 253,779 253,779 253,779 
Issuance of common shares under equity incentive plan336,721 29,442 (30,193)(751)(751)
Non-cash share-based compensation expense82,790 82,790 82,790 
Net loss(116,399)(116,399)(498)(116,897)
Other comprehensive loss(2,325)(2,325)(2,325)
Balances as of March 31, 202270,540,802 $2,112,686 $129,580 $(2,702,154)$(2,398)$(462,286)$(4,127)$(466,413)
Issuance of common shares as payment for acquisition493,254 58,747 — — — 58,747 — 58,747 
Issuance of common shares under equity incentive plan and employee share purchase plan77,015 9,965 (2,826)— — 7,139 — 7,139 
Non-cash share-based compensation expense— — 40,267 — — 40,267 — 40,267 
Net loss— — — (441,387)— (441,387)(498)(441,885)
Other comprehensive loss— — — — (3,413)(3,413)— (3,413)
Balances as of June 30, 202271,111,071 $2,181,398 $167,021 $(3,143,541)$(5,811)$(800,933)$(4,625)$(805,558)
Changes in shareholders’ equity (deficit) for the three and six months ended June 30, 2021 were as follows:
Common Shares
SharesAmountAdditional Paid-in CapitalAccumulated DeficitAccumulated Other Comprehensive IncomeBiohaven Shareholders' Equity (Deficit)Non-controlling InterestsTotal Shareholders' Equity (Deficit)
Balance as of December 31, 202060,436,876 $1,249,547 $98,938 $(1,739,169)$314 $(390,370)$(1,819)$(392,189)
Issuance of common shares, net of offering costs4,037,204 308,243 — — — 308,243 — 308,243 
Issuance of common shares as part of acquisition115,836 10,673 — — — 10,673 — 10,673 
Issuance of common shares as payment for license agreements110,998 10,243 — — — 10,243 — 10,243 
Issuance of common shares under equity incentive plan365,554 25,315 (23,933)— — 1,382 — 1,382 
Non-cash share-based compensation expense— — 48,726 — — 48,726 — 48,726 
Net loss— — — (264,968)— (264,968)(360)(265,328)
Other comprehensive income— — — — 95 95 — 95 
Balance as of March 31, 202165,066,468 $1,604,021 $123,731 $(2,004,137)$409 $(275,976)$(2,179)$(278,155)
Issuance of common shares under equity incentive plan173,990 14,173 (6,912)— — 7,261 — 7,261 
Non-cash share-based compensation expense— — 25,586 — — 25,586 — 25,586 
Net loss— — — (210,619)— (210,619)(540)(211,159)
Other comprehensive loss— — — — (129)(129)— (129)
Balance as of June 30, 202165,240,458 $1,618,194 $142,405 $(2,214,756)$280 $(453,877)$(2,719)$(456,596)