CLOUDFLARE, INC. (NET)

SEIFERT THOMAS J 🟡 adjusted position in 301.6K shares (7 derivative) of Cloudflare, Inc. (NET) at $213.23 ($2.8M) Transaction Date: Mar 15, 2026 | Filing ID: 000010

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  • News bot March 17, 2026, 11:27 p.m.

    🔍 SEIFERT THOMAS J (Executive)

    Company: Cloudflare, Inc. (NET)

    Report Date: 2026-03-15

    Transaction Summary:

    • Total transactions: 14
    • Derivative instruments: 7
    • Holdings reported: 4
    • Total shares acquired: 20,682
    • Total shares sold: 33,966
    • Total shares held: 288,300

    Detailed Transactions and Holdings:

    • Sold 2,943 shares of Class A Common Stock at $212.45 per share (Direct)
      Date: 2026-03-15 | Code: F | equity_swap_involved: 0 | shares_owned_after: 224,625.00 | transaction_form_type: 4 | Footnotes: F1
    • Acquired 10,341 shares of Class A Common Stock (Direct)
      Date: 2026-03-17 | Code: C | equity_swap_involved: 0 | shares_owned_after: 234,966.00 | transaction_form_type: 4 | Footnotes: F2
    • Sold 200 shares of Class A Common Stock at $207.68 per share (Direct)
      Date: 2026-03-17 | Code: S | equity_swap_involved: 0 | shares_owned_after: 234,766.00 | transaction_form_type: 4 | Footnotes: F3, F4
    • Sold 100 shares of Class A Common Stock at $208.64 per share (Direct)
      Date: 2026-03-17 | Code: S | equity_swap_involved: 0 | shares_owned_after: 234,666.00 | transaction_form_type: 4 | Footnotes: F3
    • Sold 3,041 shares of Class A Common Stock at $211.689 per share (Direct)
      Date: 2026-03-17 | Code: S | equity_swap_involved: 0 | shares_owned_after: 231,625.00 | transaction_form_type: 4 | Footnotes: F3, F5
    • Sold 5,000 shares of Class A Common Stock at $212.5662 per share (Direct)
      Date: 2026-03-17 | Code: S | equity_swap_involved: 0 | shares_owned_after: 226,625.00 | transaction_form_type: 4 | Footnotes: F3, F6
    • Sold 2,000 shares of Class A Common Stock at $213.2323 per share (Direct)
      Date: 2026-03-17 | Code: S | equity_swap_involved: 0 | shares_owned_after: 224,625.00 | transaction_form_type: 4 | Footnotes: F3, F7
    • Sold 10,341 shares of Employee Stock Option (right to buy) at $2.04 per share (Derivative)
      Date: 2026-03-17 | Code: M | Expires: 2027-07-25 | equity_swap_involved: 0 | shares_owned_after: 60,000.00 | transaction_form_type: 4 | Footnotes: F8, F2
    • Acquired 10,341 shares of Class B Common Stock (Derivative)
      Date: 2026-03-17 | Code: M | equity_swap_involved: 0 | shares_owned_after: 19,266.00 | transaction_form_type: 4 | Footnotes: F2, F2, F2
    • Sold 10,341 shares of Class B Common Stock (Derivative)
      Date: 2026-03-17 | Code: C | equity_swap_involved: 0 | shares_owned_after: 8,925.00 | transaction_form_type: 4 | Footnotes: F2, F2, F2
    • Holds 150,000 shares of Class B Common Stock (Derivative)
      Date: 2026-03-15 | Code: H | shares_owned_after: 150,000.00 | Footnotes: F2, F2, F2, F9
    • Holds 46,100 shares of Class B Common Stock (Derivative)
      Date: 2026-03-15 | Code: H | shares_owned_after: 46,100.00 | Footnotes: F2, F2, F2, F10
    • Holds 46,100 shares of Class B Common Stock (Derivative)
      Date: 2026-03-15 | Code: H | shares_owned_after: 46,100.00 | Footnotes: F2, F2, F2, F11
    • Holds 46,100 shares of Class B Common Stock (Derivative)
      Date: 2026-03-15 | Code: H | shares_owned_after: 46,100.00 | Footnotes: F2, F2, F2, F12

    Footnotes:

    • F1: The shares were withheld to satisfy the reporting person's tax liability in connection with the vesting of restricted stock units, or RSUs.
    • F2: Each share of Class B Common Stock is convertible at any time into Class A Common Stock on a one-to-one basis at the reporting person's election and has no expiration date.
    • F3: The sale reported in this Form 4 was effected pursuant to a Rule 10b5-1 trading plan adopted by the reporting person on November 20, 2025.
    • F4: The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $207.32 to $208.04, inclusive. The reporting person undertakes to provide 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 footnotes (4) through (7) to this Form 4.
    • F5: The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $211.02 to $212.00, inclusive.
    • F6: The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $212.03 to $213.02, inclusive.
    • F7: The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $213.03 to $213.80, inclusive.
    • F8: Shares subject to the option are fully vested and immediately exercisable.
    • F9: The shares are held of record by Center Court Partners Ltd., for which the reporting person serves as a partner.
    • F10: The shares are held of record by Center Court 2020 Trust 1 UA 12/11/20, for which the reporting person serves as trustee.
    • F11: The shares are held of record by Center Court 2020 Trust 2 UA 12/11/20, for which the reporting person serves as trustee.
    • F12: The shares are held of record by Center Court 2020 Trust 3 UA 12/11/20, for which the reporting person serves as trustee.