FEDERAL NATIONAL MORTGAGE ASSOCIATION FANNIE MAEFNMA

時価総額
$106.5億
PER
証券市場監督とEDGAR開示運用の米国最大手。EDGAR電子開示システムと公開データAPIを展開。スクリプト利用者向けに10件/秒のアクセス制限を設定。1986年の不正アクセス法や1996年の情報保護法に基づく監視を米国全域で実施。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents17,29717,53921,11719,22822,02314,67425,22432,11025,55721,18438,33742,44857,98735,81738,853
Restricted Cash and Cash Equivalents----------68,30859,20323,34825,83631,893
Securities purchased under agreements to resell-----------13,5333,475--
Marketable Securities151,248151,780103,87668,93962,15860,13848,92539,52245,29650,527138,23989,04350,82553,11679,197
Financing Receivable, Held-for-Sale--------7,7016,7735,1975,1342,0332,149373
Fannie Mae------------52,08148,19950,053
Consolidated Trusts------------4,071,6694,094,0134,095,287
Total loans held for investment------------4,123,7504,142,2124,145,340
Allowance for loan losses------------11,3478,7307,707
Total loans held for investment, net of allowance------------4,112,4034,133,4824,137,633
Total mortgage loans2,923,7202,898,3102,948,9423,025,8603,019,1633,014,2833,076,8543,173,5373,241,6943,327,3893,648,6953,963,1084,114,4364,135,6314,138,006
Advance to Lender----------10,4498,4141,5021,3891,825
Deferred tax assets, net----------12,94712,71512,90011,70010,545
Financing Receivable, Accrued Interest, after Allowance for Credit Loss------------9,24110,13210,666
Other assets25,87525,37427,93920,23119,99217,55320,94219,04917,00420,76515,20110,85513,38713,49014,008
Total assets3,221,9723,211,4843,222,4223,270,1083,248,1763,221,9173,287,9683,345,5293,418,3183,503,3193,985,7494,229,1664,305,2884,325,4374,349,731
Interest Payable----------8,9558,5179,34710,21210,858
Fannie Mae-------276,752232,074182,247289,572200,892134,168124,065139,422
Consolidated Trusts----------3,646,1643,957,2994,087,7204,098,6534,088,675
Consolidated Trusts----------1,5231,2451,7481,7131,699
Other Liabilities10,40013,53514,37815,44112,01910,39310,1509,4799,94711,09715,03514,43213,20614,10615,392
Total liabilities3,224,4893,216,0553,215,1983,260,5173,244,4563,217,8583,281,8973,349,2153,412,0783,488,7113,960,4904,181,8094,245,0114,247,7554,255,074
Commitments and Contingencies---------------
Senior Preferred Stock Value--------120,836120,836120,836120,836120,800120,800120,800
Preferred Stock, Value, Issued20,20419,13019,13019,13019,13019,13019,13019,13019,13019,13019,13019,13019,10019,10019,130
Common Stock, Value, Issued667687687687687687687687687687687687687687687
Accumulated deficit-102,986-128,381-122,766-121,227-127,618-126,942-124,253-133,805-127,335-118,776-108,110-85,934-73,011-55,603-38,625
Accumulated other comprehensive income-1,682-1,2353841,2031,7331,40775955332213111638353229
Treasury stock, at cost, $150,675,136 shares7,4027,4037,4017,4017,4017,4017,4017,4007,4007,4007,4007,4007,4007,4007,400
Total stockholders’ equity-2,517-4,5717,2249,5913,7204,0596,071-3,6866,20014,60025,25947,35760,27777,68294,657
Total liabilities and equity3,221,9723,211,4843,222,4223,270,1083,248,1763,221,9173,287,9683,345,5293,418,3183,503,3193,985,7494,229,1664,305,2884,325,4374,349,731