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Coinbase Global, Inc. Director's Dealing 2024

Nov 22, 2024

29896_dirs_2024-11-22_83737b73-0dce-44fe-b058-91c96278a49c.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: Coinbase Global, Inc. (COIN)
CIK: 0001679788
Period of Report: 2024-11-20

Reporting Person: Brock Lawrence J (Chief People Officer)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2024-11-20 Class A Common Stock M 24176 Acquired 42772 Direct
2024-11-20 Class A Common Stock M 1286 Acquired 44058 Direct
2024-11-20 Class A Common Stock M 3350 Acquired 47408 Direct
2024-11-20 Class A Common Stock M 4402 Acquired 51810 Direct
2024-11-20 Class A Common Stock S 200 $305.135 Disposed 51610 Direct
2024-11-20 Class A Common Stock S 502 $307.9259 Disposed 51108 Direct
2024-11-20 Class A Common Stock S 100 $310.28 Disposed 51008 Direct
2024-11-20 Class A Common Stock S 600 $311.975 Disposed 50408 Direct
2024-11-20 Class A Common Stock S 2006 $313.0167 Disposed 48402 Direct
2024-11-20 Class A Common Stock S 3165 $314.0311 Disposed 45237 Direct
2024-11-20 Class A Common Stock S 1500 $315.482 Disposed 43737 Direct
2024-11-20 Class A Common Stock S 1526 $316.4492 Disposed 42211 Direct
2024-11-20 Class A Common Stock S 933 $317.7573 Disposed 41278 Direct
2024-11-20 Class A Common Stock S 400 $319.5975 Disposed 40878 Direct
2024-11-20 Class A Common Stock S 1000 $320.645 Disposed 39878 Direct
2024-11-20 Class A Common Stock S 900 $321.57 Disposed 38978 Direct
2024-11-20 Class A Common Stock S 500 $322.74 Disposed 38478 Direct
2024-11-20 Class A Common Stock S 100 $323.41 Disposed 38378 Direct
2024-11-20 Class A Common Stock S 200 $327.225 Disposed 38178 Direct
2024-11-20 Class A Common Stock S 300 $329.2233 Disposed 37878 Direct
2024-11-20 Class A Common Stock S 100 $330.10 Disposed 37778 Direct
2024-11-20 Class A Common Stock S 301 $331.8575 Disposed 37477 Direct
2024-11-20 Class A Common Stock S 200 $333.215 Disposed 37277 Direct
2024-11-20 Class A Common Stock S 100 $335.18 Disposed 37177 Direct
2024-11-20 Class A Common Stock S 100 $336.59 Disposed 37077 Direct
2024-11-20 Class A Common Stock S 100 $339.66 Disposed 36977 Direct
2024-11-20 Class A Common Stock S 100 $340.70 Disposed 36877 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2024-11-20 Restricted Stock Units $0 M 24176 Disposed Class A Common Stock (24176) Direct
2024-11-20 Restricted Stock Units $0 M 1286 Disposed Class A Common Stock (1286) Direct
2024-11-20 Restricted Stock Units $0 M 3350 Disposed Class A Common Stock (3350) Direct
2024-11-20 Restricted Stock Units $0 M 4402 Disposed Class A Common Stock (4402) Direct

Footnotes

F1: Vesting of restricted stock units ("RSUs") previously granted to the Reporting Person.

F2: Includes 71 shares acquired on November 14, 2024, pursuant to the Issuer's 2021 Employee Stock Purchase Plan.

F3: All of the shares reported as disposed of in this Form 4 were sold to pay federal and state tax withholding obligations of the Reporting Person resulting from the vesting of RSUs.

F4: Represents the weighted average sale price. The lowest price at which shares were sold was $304.76 and the highest price at which shares were sold was $305.51. The Reporting Person undertakes to provide upon request to the staff of the Securities and Exchange Commission, the Issuer or its stockholders, full information regarding the total number of shares sold at each separate price within the ranges set forth in footnotes (4) through (19) to this Form 4.

F5: Represents the weighted average sale price. The lowest price at which shares were sold was $307.73 and the highest price at which shares were sold was $308.16.

F6: Represents the weighted average sale price. The lowest price at which shares were sold was $311.55 and the highest price at which shares were sold was $312.51.

F7: Represents the weighted average sale price. The lowest price at which shares were sold was $312.59 and the highest price at which shares were sold was $313.57.

F8: Represents the weighted average sale price. The lowest price at which shares were sold was $313.63 and the highest price at which shares were sold was $314.53.

F9: Represents the weighted average sale price. The lowest price at which shares were sold was $314.95 and the highest price at which shares were sold was $315.91.

F10: Represents the weighted average sale price. The lowest price at which shares were sold was $316.01 and the highest price at which shares were sold was $316.99.

F11: Represents the weighted average sale price. The lowest price at which shares were sold was $317.19 and the highest price at which shares were sold was $318.17.

F12: Represents the weighted average sale price. The lowest price at which shares were sold was $319.01 and the highest price at which shares were sold was $319.87.

F13: Represents the weighted average sale price. The lowest price at which shares were sold was $320.09 and the highest price at which shares were sold was $321.03.

F14: Represents the weighted average sale price. The lowest price at which shares were sold was $321.26 and the highest price at which shares were sold was $322.03.

F15: cRepresents the weighted average sale price. The lowest price at which shares were sold was $322.32 and the highest price at which shares were sold was $323.06.

F16: Represents the weighted average sale price. The lowest price at which shares were sold was $326.97 and the highest price at which shares were sold was $327.48.

F17: Represents the weighted average sale price. The lowest price at which shares were sold was $328.82 and the highest price at which shares were sold was $329.66.

F18: Represents the weighted average sale price. The lowest price at which shares were sold was $331.71 and the highest price at which shares were sold was $332.12.

F19: Represents the weighted average sale price. The lowest price at which shares were sold was $332.94 and the highest price at which shares were sold was $333.49.

F20: Each RSU represents a contingent right to receive one share of the Issuer's Class A Common Stock.

F21: The RSUs vest in equal quarterly installments over two years, with the first 1/8 vesting on February 20, 2023, until the award is fully vested on November 20, 2024, subject to the Reporting Person's continued service to the Issuer on each vesting date.

F22: RSUs do not expire; they either vest or are canceled prior to vesting date.

F23: The RSUs vest in equal quarterly installments over three years, with the first 1/12 vesting on February 20, 2022, until the award is fully vested on November 20, 2024, subject to the Reporting Person's continued service to the Issuer on each vesting date.

F24: The RSUs vest in equal quarterly installments over three years, with the first 1/12 vesting on February 20, 2023, until the award is fully vested on November 20, 2025, subject to the Reporting Person's continued service to the Issuer on each vesting date.

F25: The RSUs vest in equal quarterly installments over three years, with the first 1/12 vesting on February 20, 2024, until the award is fully vested on November 20, 2026, subject to the Reporting Person's continued service to the Issuer on each vesting date.