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Fed Hom Ln Mtg Financials

FREGP
Source SEC Filings (10-K/10-Q) Data as of Dec 31, 2025 Currency USD FYE December

This page shows Fed Hom Ln Mtg (FREGP) financial statements, including the income statement, balance sheet, cash flow statement, and key financial ratios. View 17 years of annual fundamentals and quarterly data, with year-over-year growth rates and compound annual growth rates (CAGR). All figures are derived from SEC filings (10-K and 10-Q reports).

Rhea AI FREGP FY2025

FY2025 shows a balance-sheet-driven business where cash generation matters more than revenue optics or reported margins.

After cash conversion trailed profit in FY2023 and FY2024, operating cash flow reached $19.4B in FY2025 against $10.7B of net income. That reversal matters because cash on hand was only $5.3B while liabilities stood at $3.4T, so the balance sheet relies more on ongoing cash generation than on a large liquidity stockpile.

With $3.5T of assets supporting only $23.3B of revenue, this is a spread-and-balance-sheet model where small changes in asset returns matter more than revenue growth alone. That is why return on assets stayed just 0.3% even with a net margin of 46.1%; percentage margins can look rich, but the asset base absorbs them and keeps economic returns modest.

Capital is rebuilding: equity rose to $70.4B in FY2025 from $28.0B in FY2021, so the firm has been adding to its loss-absorbing cushion. The retained earnings deficit narrowed to -$12.5B from -$55.0B, which suggests recent profits are repairing prior balance-sheet strain rather than simply expanding the operating footprint.

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Financial Health Signals

Financial health score pending refresh

We are recalculating Fed Hom Ln Mtg's peer-relative financial health score against the latest fiscal year. It will appear here once the refresh completes. The signals and metrics below are current.

Piotroski F-Score Partial
5/7

Fed Hom Ln Mtg passes 5 of 7 computable financial strength tests (2 of the nine could not be computed from available data). 3 of 4 profitability signals pass, all 2 leverage/liquidity signals pass, neither operating efficiency signal passes.

Earnings Quality Cash-Backed
1.81x

For every $1 of reported earnings, Fed Hom Ln Mtg generates $1.81 in operating cash flow ($19.4B OCF vs $10.7B net income). This indicates profits are well-supported by actual cash generation, not accounting adjustments.

Key Financial Metrics

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Earnings & Revenue

Revenue
$23.3B
YoY-2.7%
5Y CAGR+6.9%
10Y CAGR-10.0%

Fed Hom Ln Mtg generated $23.3B in revenue in fiscal year 2025. This represents a decrease of 2.7% from the prior year.

EBITDA
N/A
Net Income
$10.7B
YoY-9.5%
5Y CAGR+7.9%
10Y CAGR+5.3%

Fed Hom Ln Mtg reported $10.7B in net income in fiscal year 2025. This represents a decrease of 9.5% from the prior year.

EPS (Diluted)
$-0.02

Fed Hom Ln Mtg earned $-0.02 per diluted share (EPS) in fiscal year 2025.

Cash & Balance Sheet

Free Cash Flow
N/A
Cash & Debt
$4.6B
YoY-16.4%
5Y CAGR-28.0%
10Y CAGR-1.9%

Fed Hom Ln Mtg held $4.6B in cash against $169.3B in long-term debt as of fiscal year 2025.

Dividends Per Share
N/A
Shares Outstanding
650M
YoY+0.0%
5Y CAGR+0.0%
10Y CAGR+0.0%

Fed Hom Ln Mtg had 650M shares outstanding in fiscal year 2025. This represents an increase of 0.0% from the prior year.

Margins & Returns

Gross Margin
N/A
Operating Margin
N/A
Net Margin
46.1%
YoY-3.5pp
5Y CAGR+2.1pp
10Y CAGR+36.6pp

Fed Hom Ln Mtg's net profit margin was 46.1% in fiscal year 2025, showing the share of revenue converted to profit. This is down 3.5 percentage points from the prior year.

Return on Equity
15.9%
YoY-4.0pp
5Y CAGR-28.8pp
10Y CAGR-201.0pp

Fed Hom Ln Mtg's ROE was 15.9% in fiscal year 2025, measuring profit generated per dollar of shareholder equity. This is down 4.0 percentage points from the prior year.

Capital Allocation

R&D Spending
N/A
Share Buybacks
N/A
Capital Expenditures
N/A

FREGP Income Statement

Metric Q4'25 Q3'25 Q2'25 Q1'25 Q4'24 Q3'24 Q2'24 Q1'24
Revenue $5.8B+0.4% $5.7B-3.0% $5.9B+1.1% $5.9B-7.5% $6.3B+8.4% $5.8B-2.5% $6.0B+4.0% $5.8B
Cost of Revenue N/A N/A N/A N/A N/A N/A N/A N/A
Gross Profit N/A N/A N/A N/A N/A N/A N/A N/A
R&D Expenses N/A N/A N/A N/A N/A N/A N/A N/A
SG&A Expenses $746.0M+4.2% $716.0M-4.3% $748.0M+10.7% $676.0M-9.7% $749.0M+5.0% $713.0M+3.5% $689.0M-0.4% $692.0M
Operating Income N/A N/A N/A N/A N/A N/A N/A N/A
Interest Expense $27.9B+1.3% $27.5B+2.9% $26.7B+1.9% $26.3B+2.7% $25.6B+3.1% $24.8B+2.8% $24.1B+2.2% $23.6B
Income Tax $677.0M+0.3% $675.0M+14.8% $588.0M-14.8% $690.0M-13.3% $796.0M+7.4% $741.0M+6.6% $695.0M+1.0% $688.0M
Net Income $2.8B+0.1% $2.8B+16.2% $2.4B-14.6% $2.8B-13.3% $3.2B+3.8% $3.1B+12.3% $2.8B0.0% $2.8B
EPS (Diluted) N/A $0.00+100.0% $-0.010.0% $-0.01 N/A $-0.02 $0.00-100.0% $0.01

FREGP Balance Sheet

Metric Q4'25 Q3'25 Q2'25 Q1'25 Q4'24 Q3'24 Q2'24 Q1'24
Total Assets $3.5T+0.8% $3.5T+0.9% $3.4T+0.8% $3.4T+0.7% $3.4T+1.3% $3.3T+1.1% $3.3T+0.6% $3.3T
Current Assets N/A N/A N/A N/A N/A N/A N/A N/A
Cash & Equivalents $5.3B+15.2% $4.6B+8.4% $4.3B-10.9% $4.8B-13.4% $5.5B+13.9% $4.9B-12.2% $5.5B+56.7% $3.5B
Inventory N/A N/A N/A N/A N/A N/A N/A N/A
Accounts Receivable N/A N/A N/A N/A N/A N/A N/A N/A
Goodwill N/A N/A N/A N/A N/A N/A N/A N/A
Total Liabilities $3.4T+0.8% $3.4T+0.9% $3.4T+0.7% $3.3T+0.6% $3.3T+1.2% $3.3T+1.0% $3.3T+0.5% $3.2T
Current Liabilities N/A N/A N/A N/A N/A N/A N/A N/A
Long-Term Debt $169.3B N/A N/A N/A $167.3B-94.9% $3.3T+1.0% $3.2T+0.5% $3.2T
Total Equity $70.4B+4.1% $67.6B+4.3% $64.8B+3.9% $62.4B+4.7% $59.6B+5.6% $56.4B+6.0% $53.2B+5.5% $50.5B
Retained Earnings -$12.5B+18.1% -$15.3B+15.3% -$18.1B+11.7% -$20.5B+12.0% -$23.3B+12.2% -$26.5B+10.5% -$29.6B+8.5% -$32.4B

FREGP Cash Flow Statement

Metric Q4'25 Q3'25 Q2'25 Q1'25 Q4'24 Q3'24 Q2'24 Q1'24
Operating Cash Flow $2.6B-49.3% $5.1B-37.6% $8.1B+128.0% $3.6B+496.9% -$900.0M-124.3% $3.7B+299.8% $927.0M-68.0% $2.9B
Capital Expenditures N/A N/A N/A N/A N/A N/A N/A N/A
Free Cash Flow N/A N/A N/A N/A N/A N/A N/A N/A
Investing Cash Flow $4.7B+634.7% -$881.0M+84.2% -$5.6B-185.9% $6.5B+147.8% -$13.6B-1651.8% $875.0M-93.5% $13.4B+50.1% $8.9B
Financing Cash Flow -$6.6B-71.4% -$3.8B-24.3% -$3.1B+71.4% -$10.8B-171.3% $15.2B+388.3% -$5.3B+57.4% -$12.3B+13.8% -$14.3B
Dividends Paid N/A N/A N/A N/A N/A N/A N/A N/A
Share Buybacks N/A N/A N/A N/A N/A N/A N/A N/A

FREGP Financial Ratios

Metric Q4'25 Q3'25 Q2'25 Q1'25 Q4'24 Q3'24 Q2'24 Q1'24
Gross Margin N/A N/A N/A N/A N/A N/A N/A N/A
Operating Margin N/A N/A N/A N/A N/A N/A N/A N/A
Net Margin 48.2%-0.1pp 48.3%+8.0pp 40.4%-7.4pp 47.7%-3.2pp 50.9%-2.3pp 53.2%+7.0pp 46.2%-1.9pp 48.0%
Return on Equity 4.0%-0.2pp 4.1%+0.4pp 3.7%-0.8pp 4.5%-0.9pp 5.4%-0.1pp 5.5%+0.3pp 5.2%-0.3pp 5.5%
Return on Assets 0.1%0.0pp 0.1%+0.0pp 0.1%-0.0pp 0.1%-0.0pp 0.1%+0.0pp 0.1%0.0pp 0.1%0.0pp 0.1%
Current Ratio N/A N/A N/A N/A N/A N/A N/A N/A
Debt-to-Equity 2.41-47.9 50.30-1.7 52.02-1.6 53.63+50.8 2.81-54.9 57.66-2.8 60.48-3.0 63.47
FCF Margin N/A N/A N/A N/A N/A N/A N/A N/A

Frequently Asked Questions

Fed Hom Ln Mtg (FREGP) reported $23.3B in total revenue for fiscal year 2025. This represents a -2.7% change compared to the previous fiscal year. Revenue measures the total income earned from the company's primary business operations before any expenses are deducted.

Fed Hom Ln Mtg (FREGP) revenue declined by 2.7% year-over-year, from $23.9B to $23.3B in fiscal year 2025.

Yes, Fed Hom Ln Mtg (FREGP) reported a net income of $10.7B in fiscal year 2025, with a net profit margin of 46.1%.

Fed Hom Ln Mtg (FREGP) reported diluted earnings per share of $-0.02 for fiscal year 2025. EPS represents the portion of a company's net income allocated to each outstanding share of common stock and is widely used to evaluate profitability on a per-share basis.

As of fiscal year 2025, Fed Hom Ln Mtg (FREGP) had $4.6B in cash and equivalents against $169.3B in long-term debt.

Fed Hom Ln Mtg (FREGP) had a net profit margin of 46.1% in fiscal year 2025, representing the share of revenue converted into profit after all expenses.

Fed Hom Ln Mtg (FREGP) has a return on equity of 15.9% for fiscal year 2025, measuring how efficiently the company generates profit from shareholder equity.

Fed Hom Ln Mtg (FREGP) generated $19.4B in operating cash flow during fiscal year 2025, representing cash generated from core business activities.

Fed Hom Ln Mtg (FREGP) had $3.5T in total assets as of fiscal year 2025, including both current and long-term assets.

Fed Hom Ln Mtg (FREGP) had 650M shares outstanding as of fiscal year 2025.

Fed Hom Ln Mtg (FREGP) had a debt-to-equity ratio of 50.30 as of fiscal year 2025, measuring the company's financial leverage by comparing total debt to shareholder equity.

Fed Hom Ln Mtg (FREGP) had a return on assets of 0.3% for fiscal year 2025, measuring how efficiently the company uses its assets to generate profit.

Fed Hom Ln Mtg (FREGP) has a Piotroski F-Score of 5 out of 7 computable signals; 2 of the nine could not be computed from available data, so the full-scale strength rating is not shown. The F-Score evaluates nine binary signals across profitability (positive ROA, positive cash flow, improving ROA, earnings quality), leverage (decreasing debt, improving liquidity, no share dilution), and operating efficiency (improving gross margin, improving asset turnover). Scores of 7 to 9 indicate strong and improving fundamentals. Learn more in our complete guide to financial health indicators.

Fed Hom Ln Mtg (FREGP) has an earnings quality ratio of 1.81x, considered cash-backed (high quality). This ratio compares operating cash flow to net income. A ratio above 1.0x means the company generates more cash than its reported earnings, indicating sustainable, cash-backed profits. Ratios below 1.0x suggest earnings rely on accounting accruals rather than actual cash generation. Learn more in our complete guide to financial health indicators.

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