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FEDERAL NATIONAL MORTGAGE ASSOC 7.625% PRF NON-CUM SERIES'R'USD25.00 (FNMAJ)

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  • 9.800
  • +0.300+3.16%
15min DelayTrading Apr 8 10:06 ET
205.80MMarket Cap0.00P/E (TTM)

FEDERAL NATIONAL MORTGAGE ASSOC 7.625% PRF NON-CUM SERIES'R'USD25.00 (FNMAJ) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold
-6.91%88.23B
-6.91%88.23B
6.39%100.9B
-3.45%102.31B
2.42%109.57B
-4.65%94.79B
-4.65%94.79B
-9.38%94.84B
-5.80%105.96B
-9.18%106.98B
-Cash and cash equivalents
-70.52%11.45B
-70.52%11.45B
-68.14%12.16B
-8.79%38.23B
214.21%39.35B
8.48%38.85B
8.48%38.85B
-21.52%38.15B
-19.76%41.91B
-79.24%12.52B
-Money market investments
185.76%45.65B
185.76%45.65B
240.58%61.53B
-14.09%23.75B
-56.91%31.77B
-47.96%15.98B
-47.96%15.98B
-20.94%18.07B
-16.34%27.65B
173.56%73.73B
-Restricted cash and investments
-22.09%31.13B
-22.09%31.13B
-29.53%27.22B
10.77%40.32B
85.46%38.45B
21.49%39.96B
21.49%39.96B
16.36%38.63B
33.80%36.4B
-32.05%20.73B
Receivables
2.86%11.69B
2.86%11.69B
5.53%11.9B
4.68%11.68B
4.76%11.59B
5.97%11.36B
5.97%11.36B
7.79%11.28B
12.35%11.16B
13.14%11.07B
-Accounts receivable
2.86%11.69B
2.86%11.69B
5.53%11.9B
4.68%11.68B
4.76%11.59B
5.97%11.36B
5.97%11.36B
7.79%11.28B
12.35%11.16B
13.14%11.07B
Prepaid assets
96.99%3.6B
96.99%3.6B
24.35%3.23B
19.13%2.21B
-9.94%1.85B
31.39%1.83B
31.39%1.83B
-23.32%2.6B
-46.71%1.86B
-25.33%2.05B
Net loan
-0.45%4.12T
-0.45%4.12T
-0.37%4.12T
-0.22%4.12T
-0.05%4.13T
0.06%4.14T
0.06%4.14T
0.12%4.14T
0.20%4.13T
0.46%4.13T
-Gross loan
-0.44%4.13T
-0.44%4.13T
-0.35%4.13T
-0.21%4.13T
-0.07%4.13T
0.03%4.15T
0.03%4.15T
0.09%4.15T
0.15%4.14T
0.38%4.14T
-Allowance for loans and lease losses
8.52%8.36B
8.52%8.36B
7.71%8.25B
2.75%8.25B
-10.11%7.53B
-11.72%7.71B
-11.72%7.71B
-11.71%7.66B
-19.60%8.03B
-26.08%8.38B
Securities and investments
-11.75%69.89B
-11.75%69.89B
15.97%71.66B
55.17%77.43B
59.02%79.35B
49.10%79.2B
49.10%79.2B
19.12%61.79B
-2.60%49.9B
-2.34%49.9B
-Trading securities
----
----
16.26%71.27B
55.88%76.99B
59.85%78.9B
49.81%78.73B
49.81%78.73B
19.52%61.3B
-2.36%49.39B
-2.08%49.36B
-Available for sale securities
--69.89B
--69.89B
----
----
----
----
----
----
----
----
-Short term investments
----
----
-21.14%388M
-13.61%438M
-16.82%445M
-16.84%469M
-16.84%469M
24,500.00%492M
50,600.00%507M
53,400.00%535M
Other assets
7.02%14.99B
7.02%14.99B
2.43%14.78B
-2.87%14.35B
4.12%13.73B
3.84%14.01B
3.84%14.01B
9.00%14.43B
9.68%14.77B
0.60%13.18B
Total assets
-0.74%4.32T
-0.74%4.32T
0.03%4.34T
0.33%4.34T
0.69%4.35T
0.56%4.35T
0.56%4.35T
0.12%4.33T
0.00%4.32T
0.15%4.32T
Liabilities
Payables
3.88%12.04B
3.88%12.04B
5.49%12.08B
5.95%11.84B
7.02%11.9B
5.98%11.59B
5.98%11.59B
6.44%11.45B
7.33%11.18B
9.22%11.12B
-Accounts payable
3.88%12.04B
3.88%12.04B
5.49%12.08B
5.95%11.84B
7.02%11.9B
5.98%11.59B
5.98%11.59B
6.44%11.45B
7.33%11.18B
9.22%11.12B
Current debt and capital lease obligation
----
----
74.46%19.92B
-7.60%11.1B
-22.71%11.04B
-35.38%11.19B
-35.38%11.19B
-19.84%11.42B
-23.16%12.01B
2.28%14.29B
-Current debt
----
----
74.46%19.92B
-7.60%11.1B
-22.71%11.04B
-35.38%11.19B
-35.38%11.19B
-19.84%11.42B
-23.16%12.01B
2.28%14.29B
Long term debt and capital lease obligation
-0.87%4.18T
-0.87%4.18T
-0.55%4.18T
-0.04%4.2T
0.36%4.22T
0.27%4.22T
0.27%4.22T
-0.26%4.21T
-0.37%4.2T
-0.34%4.2T
-Long term debt
-0.87%4.18T
-0.87%4.18T
-0.55%4.18T
-0.04%4.2T
0.36%4.22T
0.27%4.22T
0.27%4.22T
-0.26%4.21T
-0.37%4.2T
-0.34%4.2T
Other liabilities
4.35%16.06B
4.35%16.06B
1.07%14.96B
7.29%14.24B
5.09%14.84B
9.12%15.39B
9.12%15.39B
12.65%14.8B
11.48%13.27B
13.28%14.12B
Total liabilities
-1.09%4.21T
-1.09%4.21T
-0.32%4.23T
-0.02%4.24T
0.32%4.26T
0.17%4.26T
0.17%4.26T
-0.27%4.24T
-0.41%4.24T
-0.27%4.24T
Shareholders'equity
Share capital
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
0.00%140.65B
-common stock
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
0.00%687M
-Preferred stock
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
0.00%139.97B
Retained earnings
37.19%-24.26B
37.19%-24.26B
35.01%-27.79B
32.38%-31.65B
31.82%-34.96B
30.53%-38.63B
30.53%-38.63B
28.20%-42.76B
27.16%-46.8B
25.93%-51.28B
Less: Treasury stock
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
0.00%7.4B
Gains losses not affecting retained earnings
-31.03%20M
-31.03%20M
-37.50%20M
3.45%30M
-36.11%23M
-9.38%29M
-9.38%29M
77.78%32M
-19.44%29M
2.86%36M
Total stockholders'equity
15.17%109.01B
15.17%109.01B
16.52%105.49B
17.52%101.64B
19.88%98.31B
21.85%94.66B
21.85%94.66B
22.79%90.53B
25.26%86.48B
28.04%82.01B
Total equity
15.17%109.01B
15.17%109.01B
16.52%105.49B
17.52%101.64B
19.88%98.31B
21.85%94.66B
21.85%94.66B
22.79%90.53B
25.26%86.48B
28.04%82.01B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold -6.91%88.23B-6.91%88.23B6.39%100.9B-3.45%102.31B2.42%109.57B-4.65%94.79B-4.65%94.79B-9.38%94.84B-5.80%105.96B-9.18%106.98B
-Cash and cash equivalents -70.52%11.45B-70.52%11.45B-68.14%12.16B-8.79%38.23B214.21%39.35B8.48%38.85B8.48%38.85B-21.52%38.15B-19.76%41.91B-79.24%12.52B
-Money market investments 185.76%45.65B185.76%45.65B240.58%61.53B-14.09%23.75B-56.91%31.77B-47.96%15.98B-47.96%15.98B-20.94%18.07B-16.34%27.65B173.56%73.73B
-Restricted cash and investments -22.09%31.13B-22.09%31.13B-29.53%27.22B10.77%40.32B85.46%38.45B21.49%39.96B21.49%39.96B16.36%38.63B33.80%36.4B-32.05%20.73B
Receivables 2.86%11.69B2.86%11.69B5.53%11.9B4.68%11.68B4.76%11.59B5.97%11.36B5.97%11.36B7.79%11.28B12.35%11.16B13.14%11.07B
-Accounts receivable 2.86%11.69B2.86%11.69B5.53%11.9B4.68%11.68B4.76%11.59B5.97%11.36B5.97%11.36B7.79%11.28B12.35%11.16B13.14%11.07B
Prepaid assets 96.99%3.6B96.99%3.6B24.35%3.23B19.13%2.21B-9.94%1.85B31.39%1.83B31.39%1.83B-23.32%2.6B-46.71%1.86B-25.33%2.05B
Net loan -0.45%4.12T-0.45%4.12T-0.37%4.12T-0.22%4.12T-0.05%4.13T0.06%4.14T0.06%4.14T0.12%4.14T0.20%4.13T0.46%4.13T
-Gross loan -0.44%4.13T-0.44%4.13T-0.35%4.13T-0.21%4.13T-0.07%4.13T0.03%4.15T0.03%4.15T0.09%4.15T0.15%4.14T0.38%4.14T
-Allowance for loans and lease losses 8.52%8.36B8.52%8.36B7.71%8.25B2.75%8.25B-10.11%7.53B-11.72%7.71B-11.72%7.71B-11.71%7.66B-19.60%8.03B-26.08%8.38B
Securities and investments -11.75%69.89B-11.75%69.89B15.97%71.66B55.17%77.43B59.02%79.35B49.10%79.2B49.10%79.2B19.12%61.79B-2.60%49.9B-2.34%49.9B
-Trading securities --------16.26%71.27B55.88%76.99B59.85%78.9B49.81%78.73B49.81%78.73B19.52%61.3B-2.36%49.39B-2.08%49.36B
-Available for sale securities --69.89B--69.89B--------------------------------
-Short term investments ---------21.14%388M-13.61%438M-16.82%445M-16.84%469M-16.84%469M24,500.00%492M50,600.00%507M53,400.00%535M
Other assets 7.02%14.99B7.02%14.99B2.43%14.78B-2.87%14.35B4.12%13.73B3.84%14.01B3.84%14.01B9.00%14.43B9.68%14.77B0.60%13.18B
Total assets -0.74%4.32T-0.74%4.32T0.03%4.34T0.33%4.34T0.69%4.35T0.56%4.35T0.56%4.35T0.12%4.33T0.00%4.32T0.15%4.32T
Liabilities
Payables 3.88%12.04B3.88%12.04B5.49%12.08B5.95%11.84B7.02%11.9B5.98%11.59B5.98%11.59B6.44%11.45B7.33%11.18B9.22%11.12B
-Accounts payable 3.88%12.04B3.88%12.04B5.49%12.08B5.95%11.84B7.02%11.9B5.98%11.59B5.98%11.59B6.44%11.45B7.33%11.18B9.22%11.12B
Current debt and capital lease obligation --------74.46%19.92B-7.60%11.1B-22.71%11.04B-35.38%11.19B-35.38%11.19B-19.84%11.42B-23.16%12.01B2.28%14.29B
-Current debt --------74.46%19.92B-7.60%11.1B-22.71%11.04B-35.38%11.19B-35.38%11.19B-19.84%11.42B-23.16%12.01B2.28%14.29B
Long term debt and capital lease obligation -0.87%4.18T-0.87%4.18T-0.55%4.18T-0.04%4.2T0.36%4.22T0.27%4.22T0.27%4.22T-0.26%4.21T-0.37%4.2T-0.34%4.2T
-Long term debt -0.87%4.18T-0.87%4.18T-0.55%4.18T-0.04%4.2T0.36%4.22T0.27%4.22T0.27%4.22T-0.26%4.21T-0.37%4.2T-0.34%4.2T
Other liabilities 4.35%16.06B4.35%16.06B1.07%14.96B7.29%14.24B5.09%14.84B9.12%15.39B9.12%15.39B12.65%14.8B11.48%13.27B13.28%14.12B
Total liabilities -1.09%4.21T-1.09%4.21T-0.32%4.23T-0.02%4.24T0.32%4.26T0.17%4.26T0.17%4.26T-0.27%4.24T-0.41%4.24T-0.27%4.24T
Shareholders'equity
Share capital 0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B0.00%140.65B
-common stock 0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M0.00%687M
-Preferred stock 0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B0.00%139.97B
Retained earnings 37.19%-24.26B37.19%-24.26B35.01%-27.79B32.38%-31.65B31.82%-34.96B30.53%-38.63B30.53%-38.63B28.20%-42.76B27.16%-46.8B25.93%-51.28B
Less: Treasury stock 0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B0.00%7.4B
Gains losses not affecting retained earnings -31.03%20M-31.03%20M-37.50%20M3.45%30M-36.11%23M-9.38%29M-9.38%29M77.78%32M-19.44%29M2.86%36M
Total stockholders'equity 15.17%109.01B15.17%109.01B16.52%105.49B17.52%101.64B19.88%98.31B21.85%94.66B21.85%94.66B22.79%90.53B25.26%86.48B28.04%82.01B
Total equity 15.17%109.01B15.17%109.01B16.52%105.49B17.52%101.64B19.88%98.31B21.85%94.66B21.85%94.66B22.79%90.53B25.26%86.48B28.04%82.01B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------
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