<SEC-DOCUMENT>0001769628-26-000305.txt : 20260701
<SEC-HEADER>0001769628-26-000305.hdr.sgml : 20260701
<ACCEPTANCE-DATETIME>20260701190929
ACCESSION NUMBER:		0001769628-26-000305
CONFORMED SUBMISSION TYPE:	4
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20260629
FILED AS OF DATE:		20260701
DATE AS OF CHANGE:		20260701

REPORTING-OWNER:	

	OWNER DATA:	
		COMPANY CONFORMED NAME:			McBee Brannin
		CENTRAL INDEX KEY:			0002058103
		ORGANIZATION NAME:           	

	FILING VALUES:
		FORM TYPE:		4
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-42563
		FILM NUMBER:		261147132

	MAIL ADDRESS:	
		STREET 1:		C/O COREWEAVE, INC.
		STREET 2:		290 WEST MT. PLEASANT AVENUE, SUITE 4100
		CITY:			LIVINGSTON
		STATE:			NJ
		ZIP:			07039

ISSUER:		

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			CoreWeave, Inc.
		CENTRAL INDEX KEY:			0001769628
		STANDARD INDUSTRIAL CLASSIFICATION:	SERVICES-PREPACKAGED SOFTWARE [7372]
		ORGANIZATION NAME:           	06 Technology
		EIN:				823060021
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	BUSINESS ADDRESS:	
		STREET 1:		290 W. MT. PLEASANT AVENUE, SUITE 4100
		CITY:			LIVINGSTON
		STATE:			NJ
		ZIP:			07039
		BUSINESS PHONE:		(973) 270-9737

	MAIL ADDRESS:	
		STREET 1:		290 W. MT. PLEASANT AVENUE, SUITE 4100
		CITY:			LIVINGSTON
		STATE:			NJ
		ZIP:			07039

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	Atlantic Crypto Corp
		DATE OF NAME CHANGE:	20190304
</SEC-HEADER>
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                <sharesOwnedFollowingTransaction>
                    <value>1093760</value>
                </sharesOwnedFollowingTransaction>
            </postTransactionAmounts>
            <ownershipNature>
                <directOrIndirectOwnership>
                    <value>D</value>
                </directOrIndirectOwnership>
            </ownershipNature>
        </derivativeTransaction>
        <derivativeTransaction>
            <securityTitle>
                <value>Restricted Stock Units</value>
            </securityTitle>
            <conversionOrExercisePrice>
                <footnoteId id="F11"/>
            </conversionOrExercisePrice>
            <transactionDate>
                <value>2026-06-30</value>
            </transactionDate>
            <transactionCoding>
                <transactionFormType>4</transactionFormType>
                <transactionCode>M</transactionCode>
                <equitySwapInvolved>0</equitySwapInvolved>
            </transactionCoding>
            <transactionTimeliness></transactionTimeliness>
            <transactionAmounts>
                <transactionShares>
                    <value>11738</value>
                </transactionShares>
                <transactionPricePerShare>
                    <footnoteId id="F11"/>
                </transactionPricePerShare>
                <transactionAcquiredDisposedCode>
                    <value>D</value>
                </transactionAcquiredDisposedCode>
            </transactionAmounts>
            <exerciseDate>
                <footnoteId id="F21"/>
            </exerciseDate>
            <expirationDate>
                <footnoteId id="F20"/>
            </expirationDate>
            <underlyingSecurity>
                <underlyingSecurityTitle>
                    <value>Class A Common Stock</value>
                </underlyingSecurityTitle>
                <underlyingSecurityShares>
                    <value>11738</value>
                </underlyingSecurityShares>
            </underlyingSecurity>
            <postTransactionAmounts>
                <sharesOwnedFollowingTransaction>
                    <value>129127</value>
                </sharesOwnedFollowingTransaction>
            </postTransactionAmounts>
            <ownershipNature>
                <directOrIndirectOwnership>
                    <value>D</value>
                </directOrIndirectOwnership>
            </ownershipNature>
        </derivativeTransaction>
    </derivativeTable>

    <footnotes>
        <footnote id="F1">The reported transaction represents a sale effected pursuant to a Rule 10b5-1 trading plan adopted by the reporting person on March 5, 2026.</footnote>
        <footnote id="F2">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $89.71 to $90.67, inclusive.</footnote>
        <footnote id="F3">The reported securities are directly held by the Canis Major SM Trust  (the &quot;Canis Trust&quot;), an irrevocable trust with a third-party trustee, of which the reporting person's minor child is beneficiary.  The reporting person has the power to remove and replace the Canis Trust's trustee.</footnote>
        <footnote id="F4">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $90.75 to $91.74, inclusive.</footnote>
        <footnote id="F5">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $91.75 to $92.73, inclusive.</footnote>
        <footnote id="F6">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $92.79 to $93.78, inclusive.</footnote>
        <footnote id="F7">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $93.80 to $94.7950, inclusive.</footnote>
        <footnote id="F8">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $94.80 to $95.79, inclusive.</footnote>
        <footnote id="F9">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $95.80 to $96.77, inclusive.</footnote>
        <footnote id="F10">The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $96.81 to $97.80, inclusive.</footnote>
        <footnote id="F11">Each restricted stock unit represents a contingent right to receive one share of the Issuer's Class A Common Stock upon settlement.</footnote>
        <footnote id="F12">The reported transaction represents shares of Class A Common Stock of the Issuer sold to satisfy the reporting person's tax withholding obligations, which were incurred in connection with the vesting and settlement of restricted stock units.</footnote>
        <footnote id="F13">The reported securities are directly held of record by the reporting person's child.</footnote>
        <footnote id="F14">Each share of Class B Common Stock is convertible into one share of the Issuer's Class A Common Stock at any time, at the election of the holder or automatically upon certain transfers, whether or not for value, or upon the occurrence of certain events or conditions described in the Issuer's Amended and Restated Certificate of Incorporation.</footnote>
        <footnote id="F15">The reported securities are directly held by the Canis Major 2025 Family Trust LLC, of which the reporting person serves as manager.</footnote>
        <footnote id="F16">The reported securities are directly held by a grantor retained annuity trust, of which the reporting person is the sole trustee and beneficiary.</footnote>
        <footnote id="F17">The reported securities are directly held by the Canis Minor 2025 Family Trust LLC, of which the reporting person serves as manager.</footnote>
        <footnote id="F18">The reported securities are directly held by a grantor retained annuity trust, of which the reporting person's spouse is the sole beneficiary and trustee.</footnote>
        <footnote id="F19">The award vested or vests as to 1/16 of the total award on the last day of March, June, September, and December, subject to the reporting person's continued service to the Issuer on each vesting date. The first tranche time-vested on March 31, 2025, and such vested shares were subsequently settled on May 31, 2025, pursuant to a deferral approved by the compensation committee of the Issuer's board of directors.</footnote>
        <footnote id="F20">These restricted stock units do not expire; they either vest or are cancelled prior to the vesting date.</footnote>
        <footnote id="F21">The award vested or vests as to 1/16 of the total award quarterly on the last day of June, September, December, and March, subject to the reporting person's continued service to the Issuer on each vesting date, with the first tranche vesting on June 30, 2025.</footnote>
    </footnotes>

    <remarks>This Form 4 is Part 3 of 3 for this reporting person. Transactions by the reporting person are continued on this Part 3.</remarks>

    <ownerSignature>
        <signatureName>/s/ Nisha Antony, as Attorney-in-Fact</signatureName>
        <signatureDate>2026-07-01</signatureDate>
    </ownerSignature>
</ownershipDocument>
</XML>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
