0001679788-24-000099.txt : 20240522 0001679788-24-000099.hdr.sgml : 20240522 20240522161155 ACCESSION NUMBER: 0001679788-24-000099 CONFORMED SUBMISSION TYPE: 4 PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20240520 FILED AS OF DATE: 20240522 DATE AS OF CHANGE: 20240522 REPORTING-OWNER: OWNER DATA: COMPANY CONFORMED NAME: Grewal Paul CENTRAL INDEX KEY: 0001851414 ORGANIZATION NAME: FILING VALUES: FORM TYPE: 4 SEC ACT: 1934 Act SEC FILE NUMBER: 001-40289 FILM NUMBER: 24973364 MAIL ADDRESS: STREET 1: C/O COINBASE GLOBAL, INC. STREET 2: 100 PINE STREET, SUITE 1250 CITY: SAN FRANCISCO STATE: CA ZIP: 94111 ISSUER: COMPANY DATA: COMPANY CONFORMED NAME: Coinbase Global, Inc. CENTRAL INDEX KEY: 0001679788 STANDARD INDUSTRIAL CLASSIFICATION: FINANCE SERVICES [6199] ORGANIZATION NAME: 09 Crypto Assets IRS NUMBER: 464707224 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 BUSINESS ADDRESS: STREET 1: C/O CORPORATION SERVICE COMPANY STREET 2: 251 LITTLE FALLS DRIVE CITY: WILMINGTON STATE: DE ZIP: 19808 BUSINESS PHONE: 3026365401 MAIL ADDRESS: STREET 1: C/O CORPORATION SERVICE COMPANY STREET 2: 251 LITTLE FALLS DRIVE CITY: WILMINGTON STATE: DE ZIP: 19808 4 1 wk-form4_1716408705.xml FORM 4 X0508 4 2024-05-20 0 0001679788 Coinbase Global, Inc. COIN 0001851414 Grewal Paul C/O COINBASE GLOBAL, INC. NOT APPLICABLE DE 0 1 0 0 Chief Legal Officer 0 Class A Common Stock 2024-05-20 4 M 0 14424 0 A 80957 D Class A Common Stock 2024-05-20 4 M 0 1286 0 A 82243 D Class A Common Stock 2024-05-20 4 M 0 3350 0 A 85593 D Class A Common Stock 2024-05-20 4 M 0 4401 0 A 89994 D Class A Common Stock 2024-05-20 4 S 0 200 205.06 D 89794 D Class A Common Stock 2024-05-20 4 S 0 1047 206.7708 D 88747 D Class A Common Stock 2024-05-20 4 S 0 1815 207.5807 D 86932 D Class A Common Stock 2024-05-20 4 S 0 1002 208.5315 D 85930 D Class A Common Stock 2024-05-20 4 S 0 500 209.75 D 85430 D Class A Common Stock 2024-05-20 4 S 0 300 210.9767 D 85130 D Class A Common Stock 2024-05-20 4 S 0 200 212.615 D 84930 D Class A Common Stock 2024-05-20 4 S 0 900 213.8556 D 84030 D Class A Common Stock 2024-05-20 4 S 0 1700 214.66 D 82330 D Class A Common Stock 2024-05-20 4 S 0 1200 215.78 D 81130 D Class A Common Stock 2024-05-20 4 S 0 400 216.7375 D 80730 D Class A Common Stock 2024-05-20 4 S 0 794 218.4304 D 79936 D Class A Common Stock 2024-05-20 4 S 0 1282 219.6342 D 78654 D Class A Common Stock 2024-05-20 4 S 0 15 223.0554 D 78639 D Restricted Stock Units 0 2024-05-20 4 M 0 14424 0 D Class A Common Stock 14424 28846 D Restricted Stock Units 0 2024-05-20 4 M 0 1286 0 D Class A Common Stock 1286 2571 D Restricted Stock Units 0 2024-05-20 4 M 0 3350 0 D Class A Common Stock 3350 20099 D Restricted Stock Units 0 2024-05-20 4 M 0 4401 0 D Class A Common Stock 4401 44017 D Vesting of restricted stock units ("RSUs") previously granted to the Reporting Person. Includes 411 shares acquired on May 14, 2024, pursuant to the Issuer's 2021 Employee Stock Purchase Plan. 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. Represents the weighted average sale price. The lowest price at which shares were sold was $204.68 and the highest price at which shares were sold was $205.44. 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 range set forth in footnotes (4) through (16) to this Form 4. Represents the weighted average sale price. The lowest price at which shares were sold was $206.29 and the highest price at which shares were sold was $207.24. Represents the weighted average sale price. The lowest price at which shares were sold was $207.29 and the highest price at which shares were sold was $208.25. Represents the weighted average sale price. The lowest price at which shares were sold was $208.33 and the highest price at which shares were sold was $208.86. Represents the weighted average sale price. The lowest price at which shares were sold was $209.36 and the highest price at which shares were sold was $210.31. Represents the weighted average sale price. The lowest price at which shares were sold was $210.39 and the highest price at which shares were sold was $211.34. Represents the weighted average sale price. The lowest price at which shares were sold was $212.14 and the highest price at which shares were sold was $213.09. Represents the weighted average sale price. The lowest price at which shares were sold was $213.21 and the highest price at which shares were sold was $214.15. Represents the weighted average sale price. The lowest price at which shares were sold was $214.25 and the highest price at which shares were sold was $215.14. Represents the weighted average sale price. The lowest price at which shares were sold was $215.29 and the highest price at which shares were sold was $216.27. Represents the weighted average sale price. The lowest price at which shares were sold was $216.38 and the highest price at which shares were sold was $217.06. Represents the weighted average sale price. The lowest price at which shares were sold was $218.01 and the highest price at which shares were sold was $218.83. Represents the weighted average sale price. The lowest price at which shares were sold was $219.08 and the highest price at which shares were sold was $219.60. Each RSU represents a contingent right to receive one share of the Issuer's Class A Common Stock upon settlement. The RSUs vest with respect to 1/4th of the total shares underlying the award on November 20, 2021, and the remaining 3/4th of the shares underlying the award vest in equal quarterly installments thereafter until the award is fully vested on November 20, 2024, subject to the continued service of the Reporting Person to the Issuer on each vesting date. RSUs do not expire; they either vest or are canceled prior to vesting date. 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. 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. 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. /s/ Paul Grewal, by Lailey Rezai, Attorney-in-Fact 2024-05-22