Published on April 16, 2026
Exhibit 99.1
TRANSACTIONS
Except as previously disclosed in this Schedule 13D, as amended, the following table sets forth all transactions by the Reporting Persons (on
behalf of the Funds or Accounts) with respect to the securities of Core Scientific, Inc. effected since March 20, 2026, inclusive of any transactions effected through 4:00 p.m., New York City time, on April 16, 2026. Except as otherwise noted below,
all such transactions were purchases or sales of securities of Core Scientific, Inc. effected in the open market, and the table excludes commissions paid in per share prices.
TWO SEAS GLOBAL (MASTER) FUND LP
|
Type of Security
|
Amount Purchased/(Sold)
|
Price Per Security ($) or Contract*
|
Date of Purchase/Sale
|
|
Common Stock
|
162,794
|
16.650 (1)
|
3/24/2026
|
|
Common Stock
|
200,000
|
17.032 (2)
|
3/25/2026
|
|
Common Stock
|
81,396
|
17.630
|
3/25/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
48 contracts relating to 4,800 shares
|
0.350
|
3/25/2026
|
|
Common Stock
|
200,000
|
15.783 (3)
|
3/26/2026
|
|
Common Stock
|
250,000
|
15.095 (4)
|
3/27/2026
|
|
Common Stock
|
250,000
|
15.127 (5)
|
3/27/2026
|
|
Common Stock
|
328,459
|
13.875
|
3/30/2026
|
|
Common Stock
|
150,000
|
13.948 (6)
|
3/30/2026
|
|
Common Stock
|
150,000
|
13.972 (7)
|
3/30/2026
|
|
Common Stock
|
60,134
|
13.995
|
3/30/2026
|
|
Call Option (Exercise Price $25, Expiration 5/15/26)**
|
20,000 contracts relating to 2,000,000 shares
|
0.100
|
3/30/2026
|
|
Common Stock
|
82,800
|
14.846 (8)
|
3/31/2026
|
|
Common Stock
|
(500,000)
|
14.905 (9)
|
3/31/2026
|
|
Put Option (Exercise Price $11, Expiration 4/17/26)
|
(8,103) contracts relating to (810,300) shares
|
0.100
|
3/31/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
8,056 contracts relating to 805,600 shares
|
0.690
|
3/31/2026
|
|
Common Stock
|
(135,811)
|
15.393 (10)
|
4/1/2026
|
|
Put Option (Exercise Price $10, Expiration 4/17/26)
|
(8,103) contracts relating to (810,300) shares
|
0.030
|
4/1/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
8,103 contracts relating to 810,300 shares
|
0.530
|
4/1/2026
|
|
Common Stock
|
(150,000)
|
15.582 (11)
|
4/2/2026
|
|
Common Stock
|
(82,436)
|
15.800
|
4/2/2026
|
|
Common Stock
|
(82,436)
|
16.126 (12)
|
4/2/2026
|
|
Common Stock
|
(205,661)
|
17.690 (13)
|
4/8/2026
|
|
Common Stock
|
(82,265)
|
17.690 (14)
|
4/8/2026
|
|
Common Stock
|
(205,661)
|
17.953 (15)
|
4/8/2026
|
|
Common Stock
|
(250,000)
|
18.251 (16)
|
4/9/2026
|
|
Common Stock
|
(95,013)
|
18.410 (17)
|
4/9/2026
|
|
Common Stock
|
(204,915)
|
18.469 (18)
|
4/10/2026
|
|
Common Stock
|
(204,915)
|
18.530
|
4/10/2026
|
|
Common Stock
|
(204,915)
|
18.800
|
4/10/2026
|
|
Common Stock
|
81,966
|
18.675 (19)
|
4/13/2026
|
|
Common Stock
|
(61,854)
|
18.954 (20)
|
4/13/2026
|
|
Common Stock
|
61,474
|
18.672 (21)
|
4/14/2026
|
|
Common Stock
|
61,474
|
18.692 (22)
|
4/14/2026
|
|
Common Stock
|
122,950
|
18.906 (23)
|
4/14/2026
|
|
Common Stock
|
(200,000)
|
19.200 (24)
|
4/14/2026
|
|
Common Stock
|
(102,458)
|
19.400
|
4/14/2026
|
|
Call Option (Exercise Price $22, Expiration 9/18/26)
|
10,000 contracts relating to 1,000,000 shares
|
3.565
|
4/14/2026
|
|
Call Option (Exercise Price $27, Expiration 9/18/26)
|
(20,000) contracts relating to (2,000,000) shares
|
1.970
|
4/14/2026
|
|
Common Stock
|
122,560
|
18.866 (25)
|
4/15/2026
|
TWO SEAS STRATEGIC INVESTMENT FUND LP
|
Type of Security
|
Amount Purchased/(Sold)
|
Price Per Security ($) or Contract*
|
Date of Purchase/Sale
|
|
Common Stock
|
31,533
|
16.650 (26)
|
3/24/2026
|
|
Common Stock
|
15,767
|
17.630
|
3/25/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
10 contracts relating to 1,000 shares
|
0.350
|
3/25/2026
|
|
Common Stock
|
52,044
|
13.875
|
3/30/2026
|
|
Put Option (Exercise Price $11, Expiration 4/17/26)
|
(1,617) contracts relating to (161,700) shares
|
0.100
|
3/31/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
1,607 contracts relating to 160,700 shares
|
0.690
|
3/31/2026
|
|
Common Stock
|
(24,523)
|
15.393 (27)
|
4/1/2026
|
|
Put Option (Exercise Price $10, Expiration 4/17/26)
|
(1,617) contracts relating to (161,700) shares
|
0.030
|
4/1/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
1,617 contracts relating to 161,700 shares
|
0.530
|
4/1/2026
|
|
Common Stock
|
(14,886)
|
15.800
|
4/2/2026
|
|
Common Stock
|
(14,886)
|
16.126 (28)
|
4/2/2026
|
|
Common Stock
|
(37,578)
|
17.690 (29)
|
4/8/2026
|
|
Common Stock
|
(15,031)
|
17.690 (30)
|
4/8/2026
|
|
Common Stock
|
(37,578)
|
17.953 (31)
|
4/8/2026
|
|
Common Stock
|
(17,357)
|
18.410 (32)
|
4/9/2026
|
|
Common Stock
|
(38,211)
|
18.469 (33)
|
4/10/2026
|
|
Common Stock
|
(38,211)
|
18.530
|
4/10/2026
|
|
Common Stock
|
(38,211)
|
18.800
|
4/10/2026
|
|
Common Stock
|
15,284
|
18.675 (34)
|
4/13/2026
|
|
Common Stock
|
(11,534)
|
18.954 (35)
|
4/13/2026
|
|
Common Stock
|
11,463
|
18.672 (36)
|
4/14/2026
|
|
Common Stock
|
11,463
|
18.692 (37)
|
4/14/2026
|
|
Common Stock
|
22,926
|
18.906 (38)
|
4/14/2026
|
|
Common Stock
|
(19,105)
|
19.400
|
4/14/2026
|
|
Call Option (Exercise Price $20, Expiration 4/17/26)**
|
4,851 contracts relating to 485,100 shares
|
0.347
|
4/14/2026
|
|
Common Stock
|
23,256
|
18.866 (39)
|
4/15/2026
|
ACCOUNTS
|
Type of Security
|
Amount Purchased/(Sold)
|
Price Per Security ($) or Contract*
|
Date of Purchase/Sale
|
|
Common Stock
|
1,702
|
16.650 (40)
|
3/24/2026
|
|
Common Stock
|
3,971
|
16.650 (41)
|
3/24/2026
|
|
Common Stock
|
851
|
17.630
|
3/25/2026
|
|
Common Stock
|
1,986
|
17.630
|
3/25/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
1 contract relating to 100 shares
|
0.350
|
3/25/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
1 contract relating to 100 shares
|
0.350
|
3/25/2026
|
|
Common Stock
|
2,809
|
13.875
|
3/30/2026
|
|
Common Stock
|
6,554
|
13.875
|
3/30/2026
|
|
Put Option (Exercise Price $11, Expiration 4/17/26)
|
(196) contracts relating to (19,600) shares
|
0.100
|
3/31/2026
|
|
Put Option (Exercise Price $11, Expiration 4/17/26)
|
(84) contracts relating to (8,400) shares
|
0.100
|
3/31/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
194 contracts relating to 19,400 shares
|
0.690
|
3/31/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
83 contracts relating to 8,300 shares
|
0.690
|
3/31/2026
|
|
Common Stock
|
(1,323)
|
15.393 (42)
|
4/1/2026
|
|
Common Stock
|
(3,088)
|
15.393 (43)
|
4/1/2026
|
|
Put Option (Exercise Price $10, Expiration 4/17/26)
|
(196) contracts relating to (19,600) shares
|
0.030
|
4/1/2026
|
|
Put Option (Exercise Price $10, Expiration 4/17/26)
|
(84) contracts relating to (8,400) shares
|
0.030
|
4/1/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
196 contracts relating to 19,600 shares
|
0.530
|
4/1/2026
|
|
Put Option (Exercise Price $14, Expiration 4/17/26)**
|
84 contracts relating to 8,400 shares
|
0.530
|
4/1/2026
|
|
Common Stock
|
(803)
|
15.800
|
4/2/2026
|
|
Common Stock
|
(1,875)
|
15.800
|
4/2/2026
|
|
Common Stock
|
(803)
|
16.126 (44)
|
4/2/2026
|
|
Common Stock
|
(1,875)
|
16.126 (45)
|
4/2/2026
|
|
Common Stock
|
(4,733)
|
17.690 (46)
|
4/8/2026
|
|
Common Stock
|
(2,028)
|
17.690 (47)
|
4/8/2026
|
|
Common Stock
|
(811)
|
17.690 (48)
|
4/8/2026
|
|
Common Stock
|
(1,893)
|
17.690 (49)
|
4/8/2026
|
|
Common Stock
|
(2,028)
|
17.953 (50)
|
4/8/2026
|
|
Common Stock
|
(4,733)
|
17.953 (51)
|
4/8/2026
|
|
Common Stock
|
(937)
|
18.410 (52)
|
4/9/2026
|
|
Common Stock
|
(2,186)
|
18.410 (53)
|
4/9/2026
|
|
Common Stock
|
(2,062)
|
18.469 (54)
|
4/10/2026
|
|
Common Stock
|
(4,812)
|
18.469 (55)
|
4/10/2026
|
|
Common Stock
|
(2,062)
|
18.530
|
4/10/2026
|
|
Common Stock
|
(4,812)
|
18.530
|
4/10/2026
|
|
Common Stock
|
(2,062)
|
18.800
|
4/10/2026
|
|
Common Stock
|
(4,812)
|
18.800
|
4/10/2026
|
|
Common Stock
|
825
|
18.675 (56)
|
4/13/2026
|
|
Common Stock
|
1,925
|
18.675 (57)
|
4/13/2026
|
|
Common Stock
|
(622)
|
18.954 (58)
|
4/13/2026
|
|
Common Stock
|
(1,453)
|
18.954 (59)
|
4/13/2026
|
|
Common Stock
|
619
|
18.672 (60)
|
4/14/2026
|
|
Common Stock
|
1,444
|
18.672 (61)
|
4/14/2026
|
|
Common Stock
|
619
|
18.692 (62)
|
4/14/2026
|
|
Common Stock
|
1,444
|
18.692 (63)
|
4/14/2026
|
|
Common Stock
|
1,237
|
18.906 (64)
|
4/14/2026
|
|
Common Stock
|
2,887
|
18.906 (65)
|
4/14/2026
|
|
Common Stock
|
(1,031)
|
19.400
|
4/14/2026
|
|
Common Stock
|
(2,406)
|
19.400
|
4/14/2026
|
|
Call Option (Exercise Price $20, Expiration 4/17/26)**
|
587 contracts relating to 58,700 shares
|
0.347
|
4/14/2026
|
|
Call Option (Exercise Price $20, Expiration 4/17/26)**
|
252 contracts relating to 25,200 shares
|
0.347
|
4/14/2026
|
|
Common Stock
|
2,929
|
18.866 (66)
|
4/15/2026
|
|
Common Stock
|
1,255
|
18.866 (67)
|
4/15/2026
|
*Prices reflected on a per share basis. Each option is subject to a 100 contract multiplier.
**Represents a buy to close options transaction.
(1) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $16.24 to
$17.01, inclusive. The Reporting Persons undertake to provide to the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares purchased or sold, as applicable, at each separate price within the
ranges set forth in footnotes (1) – (67).
(2) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $16.86 to
$17.18, inclusive.
(3) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $15.66 to
$15.87, inclusive.
(4) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $15.005 to
$15.195, inclusive.
(5) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $15.05 to
$15.16, inclusive.
(6) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $13.57 to
$14.46, inclusive.
(7) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $13.5982 to
$14.46, inclusive.
(8) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $14.68 to
$14.98, inclusive.
(9) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $14.82 to $14.98,
inclusive.
(10) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $15.34 to $15.40,
inclusive.
(11) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $15.50 to $15.62,
inclusive.
(12) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $16.12 to $16.18,
inclusive.
(13) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.72,
inclusive.
(14) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.71,
inclusive.
(15) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.95 to $17.97,
inclusive.
(16) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.25 to $18.265,
inclusive.
(17) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.40 to $18.445,
inclusive.
(18) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.45 to $18.53,
inclusive.
(19) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.59 to
$18.71, inclusive.
(20) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.85 to $19.02,
inclusive.
(21) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.4785
to $18.95, inclusive.
(22) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.50 to
$18.95, inclusive.
(23) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.715 to
$18.985, inclusive.
(24) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $19.20 to $19.225,
inclusive.
(25) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.6575
to $19.0754, inclusive.
(26) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $16.24 to
$17.01, inclusive.
(27) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $15.34 to $15.40,
inclusive.
(28) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $16.12 to $16.18,
inclusive.
(29) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.72,
inclusive.
(30) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.71,
inclusive.
(31) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.95 to $17.97,
inclusive.
(32) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.40 to $18.445,
inclusive.
(33) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.45 to $18.53,
inclusive.
(34) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.59 to
$18.71, inclusive.
(35) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.85 to $19.02,
inclusive.
(36) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.4785
to $18.95, inclusive.
(37) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.50 to
$18.95, inclusive.
(38) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.715 to
$18.985, inclusive.
(39) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.6575
to $19.0754, inclusive.
(40) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $16.24 to
$17.01, inclusive.
(41) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $16.24 to
$17.01, inclusive.
(42) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $15.34 to $15.40,
inclusive.
(43) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $15.34 to $15.40,
inclusive.
(44) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $16.12 to $16.18,
inclusive.
(45) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $16.12 to $16.18,
inclusive.
(46) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.72,
inclusive.
(47) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.72,
inclusive.
(48) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.71,
inclusive.
(49) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.69 to $17.71,
inclusive.
(50) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.95 to $17.97,
inclusive.
(51) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $17.95 to $17.97,
inclusive.
(52) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.40 to $18.445,
inclusive.
(53) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.40 to $18.445,
inclusive.
(54) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.45 to $18.53,
inclusive.
(55) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.45 to $18.53,
inclusive.
(56) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.59 to
$18.71, inclusive.
(57) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.59 to
$18.71, inclusive.
(58) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.85 to $19.02,
inclusive.
(59) The sale price is a weighted average price. These shares were sold in multiple transactions at prices ranging from $18.85 to $19.02,
inclusive.
(60) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.4785
to $18.95, inclusive.
(61) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.4785
to $18.95, inclusive.
(62) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.50 to
$18.95, inclusive.
(63) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.50 to
$18.95, inclusive.
(64) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.715 to
$18.985, inclusive.
(65) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.715 to
$18.985, inclusive.
(66) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.6575
to $19.0754, inclusive.
(67) The purchase price is a weighted average price. These shares were purchased in multiple transactions at prices ranging from $18.6575
to $19.0754, inclusive.