SLOOTMAN FRANK

PrivateCIK: 1402348
Location

MENLO PARK, CA

SLOOTMAN FRANK (CEO and Chairman) sold 91.3% of their position (300K shares) of SNOWFLAKE INC. on the open market

Open‑market sale worth $82.32M — a major position exit. Review remaining holdings and any 10b5‑1 plan disclosures.

S · 18 sales
InsiderSLOOTMAN FRANKCIK 1402348
IssuerSNOWFLAKE INC.CIK 1640147
DirectorOfficer10% Owner· CEO and Chairman
Since Sep 2020
-300K
Net shares
Net seller
$82.32M
Total sold
18
Open market trades
0B · 18S
22
Total transactions
300K acquired · 600K disposed
Non-Derivative Transactions20

Common Stock

Direct
M · Option Exercise

Shares

+289.69K

Price / share

$8.88

Trade value

$2.57M

% of position

1015.2%
7/20/2026
28.54K318.22K

Common Stock

Direct
S · Sale

Shares

958.00

Price / share

$267.76

Trade value

$256.52K

% of position

0.3%
7/20/2026
318.22K317.26K

Common Stock

Direct
S · Sale

Shares

808.00

Price / share

$269.48

Trade value

$217.74K

% of position

0.3%
7/20/2026
317.26K316.45K

Common Stock

Direct
S · Sale

Shares

9.72K

Price / share

$270.54

Trade value

$2.63M

% of position

3.1%
7/20/2026
316.45K306.73K

Common Stock

Direct
S · Sale

Shares

11.35K

Price / share

$271.42

Trade value

$3.08M

% of position

3.7%
7/20/2026
306.73K295.38K

Common Stock

Direct
S · Sale

Shares

25.18K

Price / share

$272.31

Trade value

$6.86M

% of position

8.5%
7/20/2026
295.38K270.20K

Common Stock

Direct
S · Sale

Shares

36.57K

Price / share

$273.47

Trade value

$10M

% of position

13.5%
7/20/2026
270.20K233.63K

Common Stock

Direct
S · Sale

Shares

95.03K

Price / share

$274.51

Trade value

$26.09M

% of position

40.7%
7/20/2026
233.63K138.60K

Common Stock

Direct
S · Sale

Shares

59.98K

Price / share

$275.39

Trade value

$16.52M

% of position

43.3%
7/20/2026
138.60K78.62K

Common Stock

Direct
S · Sale

Shares

48.06K

Price / share

$276.26

Trade value

$13.28M

% of position

61.1%
7/20/2026
78.62K30.56K

Common Stock

Direct
S · Sale

Shares

2.03K

Price / share

$277.03

Trade value

$562.09K

% of position

6.6%
7/20/2026
30.56K28.54K

Common Stock

Direct
M · Option Exercise

Shares

+10.31K

Price / share

$8.88

Trade value

$91.60K

% of position

36.1%
7/21/2026
28.54K38.85K

Common Stock

Direct
S · Sale

Shares

632.00

Price / share

$269.58

Trade value

$170.38K

% of position

1.6%
7/21/2026
38.85K38.22K

Common Stock

Direct
S · Sale

Shares

281.00

Price / share

$270.62

Trade value

$76.04K

% of position

0.7%
7/21/2026
38.22K37.94K

Common Stock

Direct
S · Sale

Shares

1.30K

Price / share

$271.51

Trade value

$352.14K

% of position

3.4%
7/21/2026
37.94K36.64K

Common Stock

Direct
S · Sale

Shares

1.08K

Price / share

$272.83

Trade value

$294.12K

% of position

2.9%
7/21/2026
36.64K35.56K

Common Stock

Direct
S · Sale

Shares

600.00

Price / share

$274.08

Trade value

$164.45K

% of position

1.7%
7/21/2026
35.56K34.96K

Common Stock

Direct
S · Sale

Shares

1.95K

Price / share

$275.23

Trade value

$535.33K

% of position

5.6%
7/21/2026
34.96K33.02K

Common Stock

Direct
S · Sale

Shares

2.70K

Price / share

$277.54

Trade value

$749.07K

% of position

8.2%
7/21/2026
33.02K30.32K

Common Stock

Direct
S · Sale

Shares

1.78K

Price / share

$278.24

Trade value

$496.10K

% of position

5.9%
7/21/2026
30.32K28.54K
Total

Net shares

+0.00

Net value

-$79.66M

Derivative Transactions2

Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

289.69K shares

Shares

289.69K

Strike price

8.88

Held after

4.75M

Exercisable

7/20/2026

Stock Option (Right to Buy)

Direct
M · Option Exercise
Converts to

Common Stock

10.31K shares

Shares

10.31K

Strike price

8.88

Held after

4.74M

Exercisable

7/21/2026
Non-Derivative Holdings (Post-Transaction)4

Common Stock

Indirect
Shares owned56.33K

Common Stock

Indirect
Shares owned56.33K

Common Stock

Indirect
Shares owned78.89K

Common Stock

Indirect
Shares owned16.30K
Total
207.85K indirect207.85K
Derivative Holdings (Post-Transaction)0
No derivative holdings reported