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XXII

22nd Century Group, Inc.
Nasdaq · Cigarettes · EDGAR filings (CIK 1347858) · 5 signals · 1 setups · updated Aug 16, 2026

What the filings say Pressure ▼

The filings point to a discounted equity raise ahead — dilution for existing holders. Next thing to watch: a 424B or offering 8-K.

Radar 68 (elevated attention) · dilution pressure elevated · listing risk elevated · governance risk low · runway 5.1 mo · strongest signal: Runway < 6 months (Jun 30, 2026)

What would confirm: 424B5/8-K announcing an offering, ATM sales disclosed in next 10-Q, or Form 4 sales by insiders ahead of it.
What would prove it wrong: Non-dilutive cash event (asset sale, grant, milestone payment), OCF turning positive, or shelf withdrawn (RW).

Direction is stated for existing shareholders (▼ more shares / survival or listing risk; ▲ insiders or holders buying). It is a characterization of the filings, not a forecast or a recommendation.

68Radar · attention score (0–100)
52Dilution pressure · financing + balance sheet
47Listing risk · exchange standards
21Governance risk · reporting, auditor, going concern

Setups

Independent filings stitched into a thesis, each with what would confirm and what would prove it wrong.

Forced-raise setup Pressure ▼ strength 0.85

The filings point to a discounted equity raise ahead — dilution for existing holders. Next thing to watch: a 424B or offering 8-K. Cash need (runway < 6 months) coexists with live selling machinery (offering (424b)). Base case is a discounted raise; the question is when, not if.

Would confirm: 424B5/8-K announcing an offering, ATM sales disclosed in next 10-Q, or Form 4 sales by insiders ahead of it.
Would invalidate: Non-dilutive cash event (asset sale, grant, milestone payment), OCF turning positive, or shelf withdrawn (RW).
Runway < 6 monthsOffering (424B)

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Balance sheet (XBRL)

$6.1Mcash + short-term investments as of Jun 30, 2026
5.1 moestimated runway (annualized 180-day YTD operating cash flow [companyfacts])
$18.6Mstockholders' equity as of Jun 30, 2026
$3.5Mpublic float (10-K cover)
0.7Mshares outstanding as of Aug 14, 2026 · was 4.5M May 1, 2026

Runway = liquidity ÷ monthly operating burn at the latest reported period · balance sheet 47 days old. A financing after the balance-sheet date is the main reason a figure can be stale — check the timeline below for offerings since then.

Signal timeline

Last 30 days of filing signals plus current balance-sheet flags, newest first. ▼ pressure · ▲ support · hover a score for its components; every row links to the filing.

DateSignalEvidenceScore
Aug 14, 2026 Offering (424B) 424B3 prospectus supplement 2026-08-14; 7 prior 424B filings in 12m filing 28
Aug 14, 2026 Going-concern language “going concern periodic” language in 10-Q (10-Q) filed 2026-08-14 filing 21
Aug 5, 2026 Reverse split “reverse split” language in 8-K (8-K) filed 2026-08-05 filing 32
Jun 30, 2026 Runway < 6 months ~5.1 months runway: liquidity $6,058,000 as of 2026-06-30, burn $14,381,000/yr (annualized 180-day YTD operating cash flow [companyfacts]) filing 38
Jun 30, 2026 Near $5M MVLS floor Public float $3,500,000 (as of 2025-06-30) vs $5M Nasdaq MVLS floor; needs price x shares confirmation filing 28

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