XML 33 R3.htm IDEA: XBRL DOCUMENT v3.22.1
Condensed Consolidated Balance Sheets (Unaudited) (Parenthetical) - USD ($)
$ in Millions
Mar. 31, 2022
Dec. 31, 2021
Restricted cash and cash equivalents related to consolidated trusts $ 52,651 $ 66,183
Securities purchased under agreements to resell 17,907 20,743
Trading, at fair value pledged as collateral 2,891 4,224
Amortized cost 802 827
Total loans held for investment, at fair value 4,492 4,964
Accrued interest receivable, net, related to consolidated trusts 9,383 9,264
Interest receivable, allowance for credit loss 128 140
Accrued interest payable related to consolidated trusts 9,270 9,186
Other liabilities related to consolidated trusts 15,204 14,432
Senior preferred stock liquidation preference $ 168,856 $ 163,672
Preferred stock authorized (shares) 700,000,000 700,000,000
Preferred stock issued (shares) 555,374,922 555,374,922
Preferred stock outstanding (shares) 555,374,922 555,374,922
Common stock issued (shares) 1,308,762,703 1,308,762,703
Common stock outstanding (shares) 1,158,087,567 1,158,087,567
Treasury stock at cost (shares) 150,675,136 150,675,136
Consolidated Trusts    
Restricted cash and cash equivalents related to consolidated trusts $ 46,317 $ 59,203
Securities purchased under agreements to resell 9,707 13,533
Accrued interest receivable, net, related to consolidated trusts 8,824 8,878
Accrued interest payable related to consolidated trusts 8,598 8,517
Long-term debt at fair value 20,117 21,735
Other liabilities related to consolidated trusts 2,119 1,245
Fannie Mae    
Long-term debt at fair value $ 2,091 $ 2,381