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Larimar Therapeutics' Cash, Cash Equivalents, And Marketable Securities Of $239M As Of March 31, 2024, Extends Projected Cash Runway Into 2026

Larimar Therapeutics' Cash, Cash Equivalents, And Marketable Securities Of $239M As Of March 31, 2024, Extends Projected Cash Runway Into 2026

截至2024年3月31日,Larimar Therapeutics的現金、現金等價物和有價證券爲2.39億美元,將預計的現金流延至2026年
Benzinga ·  05/09 19:39

Larimar Therapeutics' Cash, Cash Equivalents, And Marketable Securities Of $239M As Of March 31, 2024, Extends Projected Cash Runway Into 2026

截至2024年3月31日,Larimar Therapeutics的現金、現金等價物和有價證券爲2.39億美元,將預計的現金流延至2026年

譯文內容由第三人軟體翻譯。


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