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Sell4

CoreWeave, Inc.

CRWV

Total Value
$64.3M
Net $64.3M sold
Sales
$64.3M
24 transactions

Company Information

Company Name
CoreWeave, Inc.
Ticker Symbol
CRWV
CIK
0001769628

Insider Information

Role
10% Owner
10% Owner
Location
EVANSTON, IL

Filing Details

Filing Date
Oct 29, 2025
Transaction Date
Oct 29, 2025
Accession Number
0001104659-25-103918
Form Type
4
Net Trading Amount
-$64.3M

Non-Derivative Transactions

DateSecuritySharesPriceTypeValue
Oct 29, 2025Class A Common Stock606$136.71Sale$82.8K
Oct 29, 2025Class A Common Stock57,125$137.85Sale$7.9M
Oct 29, 2025Class A Common Stock7,491$138.65Sale$1.0M
Oct 29, 2025Class A Common Stock29,263$139.71Sale$4.1M
Oct 29, 2025Class A Common Stock254$136.71Sale$34.7K
Oct 29, 2025Class A Common Stock23,916$137.85Sale$3.3M
Oct 29, 2025Class A Common Stock3,136$138.65Sale$434.8K
Oct 29, 2025Class A Common Stock12,252$139.71Sale$1.7M
Oct 29, 2025Class A Common Stock956$136.71Sale$130.7K
Oct 29, 2025Class A Common Stock90,032$137.85Sale$12.4M
Oct 29, 2025Class A Common Stock11,809$138.65Sale$1.6M
Oct 29, 2025Class A Common Stock46,122$139.71Sale$6.4M
Oct 29, 2025Class A Common Stock589$136.71Sale$80.5K
Oct 29, 2025Class A Common Stock55,486$137.85Sale$7.6M
Oct 29, 2025Class A Common Stock7,276$138.65Sale$1.0M
Oct 29, 2025Class A Common Stock28,423$139.71Sale$4.0M
Oct 29, 2025Class A Common Stock475$136.71Sale$64.9K
Oct 29, 2025Class A Common Stock44,695$137.85Sale$6.2M
Oct 29, 2025Class A Common Stock5,860$138.65Sale$812.5K
Oct 29, 2025Class A Common Stock22,893$139.71Sale$3.2M
Oct 29, 2025Class A Common Stock101$136.70Sale$13.8K
Oct 29, 2025Class A Common Stock9,372$137.85Sale$1.3M
Oct 29, 2025Class A Common Stock1,231$138.65Sale$170.7K
Oct 29, 2025Class A Common Stock4,806$139.71Sale$671.4K

Footnotes

  1. (F1)The price reported in Column 4 is a weighted average price. These securities were sold in multiple transactions at prices ranging from $136.03 to $137.00, inclusive. The reporting person undertakes to provide to CoreWeave, Inc. (the "Issuer"), any security holder of the Issuer, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within the ranges set forth in this footnote and in footnotes 2, 3, and 4.
  2. (F2)The price reported in Column 4 is a weighted average price. These securities were sold in multiple transactions at prices ranging from $137.03 to $138.00, inclusive.
  3. (F3)The price reported in Column 4 is a weighted average price. These securities were sold in multiple transactions at prices ranging from $138.26 to $139.09, inclusive.
  4. (F4)The price reported in Column 4 is a weighted average price. These securities were sold in multiple transactions at prices ranging from $139.34 to $140.10, inclusive.
  5. (F5)Magnetar Financial LLC ("Magnetar Financial") serves as the investment adviser to each of Magnetar Longhorn Fund LP, Magnetar SC Fund Ltd, Magnetar Xing He Master Fund Ltd, Purpose Alternative Credit Fund - F LLC, Purpose Alternative Credit Fund - T LLC and the general partner of Magnetar Structured Credit Fund, LP (collectively, the "Magnetar Funds").
  6. (F6)Magnetar Capital Partners LP ("Magnetar Capital Partners") is the sole member and parent holding company of Magnetar Financial. Supernova Management LLC ("Supernova Management") is the general partner of Magnetar Capital Partners. The administrative manager of Supernova Management is David J. Snyderman, a citizen of the United States of America.
  7. (F7)Each of the Magnetar Funds, Magnetar Financial, Magnetar Capital Partners, Supernova Management and David J. Snyderman disclaims beneficial ownership of these shares of Common Stock of the Issuer, except to the extent of its or his pecuniary interest therein.
  8. (F8)These securities are held directly by Magnetar Longhorn Fund LP.
  9. (F9)These securities are held directly by Magnetar SC Fund Ltd.
  10. (F10)These securities are held directly by Magnetar Structured Credit Fund, LP.
  11. (F11)These securities are held directly by Magnetar Xing He Master Fund Ltd.
  12. (F12)These securities are held directly by Purpose Alternative Credit Fund - F LLC.
  13. (F13)These securities are held directly by Purpose Alternative Credit Fund - T LLC.

SEC Filing

View on SEC Daily

View the complete filing document on SEC Daily.