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Condensed Consolidated Balance Sheets (Unaudited) - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
ASSETS    
Cash and cash equivalents $ 39,352 $ 38,853
Restricted cash and cash equivalents (includes $31,138 and $31,893, respectively, related to consolidated trusts) 38,445 39,958
Securities purchased under agreements to resell (includes $1,069 and $0 respectively, related to consolidated trusts) 31,769 15,975
Investments in securities, at fair value 79,347 79,197
Mortgage loans:    
Loans held for sale, at lower of cost or fair value 775 373
Loans held for investment, at amortized cost: 4,133,933 4,145,340
Allowance for loan losses (7,532) (7,707)
Total loans held for investment, net of allowance 4,126,401 4,137,633
Total mortgage loans 4,127,176 4,138,006
Advances to lenders 1,848 1,825
Deferred tax assets, net 10,453 10,545
Accrued interest receivable (includes $10,855 and $10,666, respectively, related to consolidated trusts) 11,592 11,364
Other assets 13,727 14,008
Total assets 4,353,709 4,349,731
Liabilities:    
Accrued interest payable (includes $11,025 and $10,858, respectively, related to consolidated trusts) 11,902 11,585
Other liabilities (includes $1,677 and $1,699, respectively, related to consolidated trusts) 14,837 15,392
Total liabilities 4,255,397 4,255,074
Commitments and contingencies (Note 14) 0 0
Fannie Mae stockholders’ equity:    
Senior preferred stock (liquidation preference of $216,156 and $212,029, respectively) 120,836 120,836
Preferred stock, 700,000,000 shares are authorized—555,374,922 shares issued and outstanding 19,130 19,130
Common stock, no par value, no maximum authorization—1,308,762,703 shares issued and 1,158,087,567 shares outstanding 687 687
Accumulated deficit (34,964) (38,625)
Accumulated other comprehensive income 23 29
Treasury stock, at cost, 150,675,136 shares (7,400) (7,400)
Total stockholders’ equity 98,312 94,657
Total liabilities and equity 4,353,709 4,349,731
Fannie Mae    
Mortgage loans:    
Loans held for investment, at amortized cost: 47,425 50,053
Liabilities:    
Debt: 136,818 139,422
Consolidated Trusts    
ASSETS    
Restricted cash and cash equivalents (includes $31,138 and $31,893, respectively, related to consolidated trusts) 31,138 31,893
Securities purchased under agreements to resell (includes $1,069 and $0 respectively, related to consolidated trusts) 1,069 0
Mortgage loans:    
Loans held for investment, at amortized cost: 4,086,508 4,095,287
Accrued interest receivable (includes $10,855 and $10,666, respectively, related to consolidated trusts) 10,855 10,666
Liabilities:    
Accrued interest payable (includes $11,025 and $10,858, respectively, related to consolidated trusts) 11,025 10,858
Debt: 4,091,840 4,088,675
Other liabilities (includes $1,677 and $1,699, respectively, related to consolidated trusts) $ 1,677 $ 1,699