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
Net income-14,018-16,85517,22083,98214,20910,95512,3132,46315,95914,16011,80522,17612,92317,40816,978
Amortization of cost basis adjustments--369-2,335-5,104-4,265-6,298-6,821-6,641-5,949-6,002-9,190-10,763-5,731-2,535-1,590
Net impact of hedged mortgage assets and debt-----------268423-210-11
Provision (benefit) for credit losses24,89626,718-852-8,949-3,964-795-2,155-2,041-3,309-4,011678-5,1306,277-1,670-186
Valuation (gains) losses--------9111,8092,6181,996-3617601,116
Change in expected credit enhancement recoveries-----------233194-727193-194
Deferred income tax expense (benefit)-------------1,2311,137
Net gains related to the disposition of acquired property and preforeclosure sales, including credit enhancements--------1,7859179241,7801,7821,182769
Net change in accrued interest receivable----------2,7496181,8261,110733
Net change in servicer advances----------932-2,131-2173130
Net change in accrued interest payable-------------1,014891
Other, net--2,175-1,402-4,811-2,109-900-1,778-406440-98-225443-343130331
Net change in trading securities23,61217,048-31,972-1,5752,66610,1533,005-4,5115,4541,63073,659-46,983-34,7871,07725,310
Net cash provided by (used in) operating activities-27,395-15,23837,00112,903-1,338-6,673-7338,2562,248-4,754-72,93447,21143,82611,883-10,520
Purchases86,72478,099210,488195,386132,650187,194233,935189,593172,155261,808766,699649,238247,016124,372135,865
Proceeds from sales-------10,24117,51117,7948,74417,1307,501--
Fannie Mae-------22,55715,08212,50810,67211,2127,609--
Consolidated Trusts----------1,120,473----
Proceeds from repayments---631,088----------366,164
Advances to lenders--------108,294141,395339,043393,016178,450103,36495,139
Proceeds from Sale of Foreclosed Assets39,68247,24838,68538,34925,47620,75716,11512,2219,3217,4255,9913,5362,6944,6223,636
Net change in federal funds sold and securities purchased under agreements to resell41,471-34,24913,500-6,4758,0253,600-3,06510,945-13,46819,360-14,622-6,178-16,13514,725
Other, net531-363-468-1,373-197-527-116-641-7880-2873411,103119-441
Net cash provided by (used in) investing activities540,179464,388527,693452,754224,667248,324224,979193,211150,853207,05226,68590,85090,12899,150157,795
Fannie Mae-------1,034,742789,355789,572580,220317,867340,708415,790469,637
Consolidated Trusts----------1,091,2421,097,497469,955228,976224,003
Fannie Mae-------1,086,470834,366834,294472,795405,368403,967427,161454,693
Consolidated Trusts----------1,097,6921,155,118561,440347,773376,114
Other, net-146-9-145702614663480-51069---3
Net cash provided by (used in) financing activities-502,299-448,908-561,116-467,546-220,534-249,000-213,696-194,581-163,938-190,314100,465-145,053-154,744-130,168-137,170
Net increase (decrease) in cash, cash equivalents and restricted cash and cash equivalents---------10,83711,98454,216-6,992-20,790-19,13510,105
Interest--------4235,9641365-118,897128,770
Income Taxes Paid, Net-------------2,7502,871