FEDERAL AGRICULTURAL MORTGAGE CORP

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Net Income $77.3m $84.3m $108.1m $109.5m $108.6m $132.3m $178.1m $200.0m $207.2m $207.4m
Net Income From Continuing Operations $178.1m $200.0m $207.2m $207.4m
Net amortization of deferred gains, premiums, and discounts on loans, investments, Farmer Mac Guaranteed Securities, and USDA Securities $1.8m $1.7m ($1.1m) ($10.4m) $8.3m $17.3m $720k ($17.0m) ($23.9m) ($21.5m)
Net amortization of debt premiums, discounts, and issuance costs $31.8m $22.9m $30.2m $50.1m $21.3m $6.8m $19.7m $31.4m $21.2m $23.3m
Deferred Income Tax $12.4m $0 ($29.2m) ($61.5m)
Deferred Tax $12.4m $0 ($29.2m) ($61.5m)
Tax payments related to share-based awards ($4.1m) ($2.5m) ($2.6m) ($1.8m) ($560k) ($1.3m) ($1.8m) ($3.0m) ($5.4m) ($5.1m)
Net change in fair value of hedged items, financial derivatives, loans held sale, and trading securities $205.7m $690.0m $78.2m $214.3m ($165.7m)
Stock-based compensation expense $3.3m $2.7m $2.5m $2.3m $4.1m $4.3m $4.6m $6.8m $8.1m $8.3m
Proceeds from repayment of loans purchased as held for sale $70.1m $70.6m $92.1m $54.2m $59.4m $47.0m $33.3m $24.4m $29.2m $40.3m
Purchases of tax credits $0 ($29.2m) ($61.5m)
Other $9k $11k $0 $236k $0 $0 $7.2m $410k ($5.8m)
Interest receivable ($9.9m) ($32.5m) ($25.9m) ($19.1m) $11.1m $6.9m ($63.8m) ($63.9m) ($31.9m) ($59.1m)
Guarantee and commitment fees receivable $1.3m $94k ($188k) ($59k) $164k ($34k) $1.0m ($1.7m) $96k ($271k)
Other assets $43.6m $3.6m ($6.4m) ($2.7m) ($3.3m) ($9.8m) ($126.1m) $54.4m $18.6m $105.7m
Accrued interest payable $2.1m $25.7m $21.3m $10.2m ($14.2m) ($8.7m) $58.9m $64.0m $13.3m $38.6m
Custodial deposit liability $0 $0 $45.0m ($7.7m) ($10.8m) $130.6m ($97.2m)
Other liabilities ($5.0m) $2.9m ($747k) $1.4m $5.9m $2.4m $7.1m $1.7m $13.9m $34.7m
Purchases of equipment and leasehold improvements $0 $0 ($5.3m) $0
Purchases of defaulted loans ($2.5m) ($6.0m) ($9.2m) ($469k) ($6.3m) ($8.7m) $0 $0 ($4.4m) ($2.5m)
Proceeds from sale of real estate owned $295k $8.1m $116k $0 $4.2m $0 $0 $0 $0 $1.0m
Proceeds from sale of Farmer Mac Guaranteed Securities $609.3m $519.2m $382.9m $321.4m $165.1m $113.2m $99.6m $0 $60.2m $0
Proceeds from issuance of notes payable $57.6b $68.3b $90.1b
Payments to redeem notes payable ($56.0b) ($67.4b) ($86.8b)
Proceeds from preferred stock issuance, net of stock issuance costs $0 $0 $0 $96.7m $193.2m $121.3m $0 $0 $0 $96.8m
Retirement of preferred stock $0 $0 ($75.0m) ($60.0m) $0 $0 $0 ($75.0m) $0
Interest $161.1m $268.7m $365.5m $283.3m $198.6m $269.3m $583.0m $820.0m $910.6m
Federal income taxes $39.5m $30.9m $23.1m $30.0m $36.3m $33.8m $48.0m $39.2m $0
Loans securitized as Farmer Mac Guaranteed Securities $519.2m $382.9m $321.4m $165.1m $113.2m $162.9m $36.5m $109.5m $48.1m
Loans held for investment transferred to consolidated trusts $0 $297.7m $281.0m $624.1m $611.6m
Beginning Cash Position $908.8m $861.0m $888.7m $1.0b
Cash Flow From Continuing Financing Activities $2.2b $1.6b $1.2b $3.6b
Cash Flow From Continuing Investing Activities ($3.0b) ($2.0b) ($1.7b) ($3.8b)
Change In Account Payable $58.9m $64.0m $13.3m $38.6m
Change In Other Current Assets ($126.1m) $54.4m $47.8m $105.7m
Change In Other Current Liabilities ($591k) ($9.1m) $144.5m ($62.5m)
Change In Payable $58.9m $64.0m $13.3m $38.6m
Change In Payables And Accrued Expense $58.9m $64.0m $13.3m $38.6m
Change In Receivables ($62.7m) ($65.6m) ($31.8m) ($59.4m)
Change In Working Capital ($130.5m) $43.6m $173.8m $22.4m
Changes In Account Receivables ($62.7m) ($65.6m) ($31.8m) ($59.4m)
Changes In Cash ($47.8m) $27.7m $135.3m ($92.9m)
End Cash Position $861.0m $888.7m $1.0b $931.1m
Excess Tax Benefit From Stock Based Compensation $292k $101k $523k $831k
Financing Cash Flow $2.2b $1.6b $1.2b $3.6b
Free Cash Flow $809.3m $375.8m $607.4m $80.1m
Gain Loss On Investment Securities ($253k) $0 $0 ($1.1m)
Investing Cash Flow ($3.0b) ($2.0b) ($1.7b) ($3.8b)
Issuance Of Capital Stock $192k $233k $287k $97.1m
Net PPE Purchase And Sale $0 $0 ($5.3m) $0
Net Preferred Stock Issuance $0 $0 ($75.0m) $96.8m
Operating Gains Losses ($6.8m) $95k
Other Non Cash Items $33.3m $31.6m $29.6m $34.5m
Preferred Stock Issuance $0 $0 $0 $96.8m
Preferred Stock Payments $0 $0 ($75.0m) $0
Purchase Of PPE $0 $0 ($5.3m) $0
Repurchase Of Capital Stock $0 $0 ($75.0m) ($12.9m)
Stock Based Compensation $4.6m $6.8m $8.1m $8.3m
Unrealized Gain Loss On Investment Securities $690.0m $78.2m $214.3m ($165.7m)
Total provision for allowance for losses $1.0m $1.8m $335k $3.5m $8.1m ($2.2m) $806k $1.1m $11.5m $32.9m
Net cash provided by operating activities $208.6m $175.0m $200.0m ($19.7m) ($94.5m) $436.4m $809.3m $375.8m $612.6m $80.1m
Purchases of available-for-sale investment securities ($4.3b) ($3.9b) ($4.7b) ($4.9b) ($4.9b) ($6.4b) ($7.7b) ($4.5b) ($1.6b) ($3.7b)
Purchases of held-to-maturity investment securities $0 ($45.0m) $0 $0 $0 ($1.2m) ($2.4m) ($2.4b) ($922.7m) ($354.4m)
Purchases of other investment securities ($1.2m) ($2.4m) ($3.1m) ($3.3m) ($4.4m)
Purchases of loans held for investment ($1.0b) ($1.3b) ($947.5m) ($2.2b) ($3.2b) ($3.0b) ($2.6b) ($2.2b) ($3.9b) ($5.3b)
Proceeds from repayment of loans purchased as held for investment $402.9m $435.4m $611.3m $758.2m $1.7b $1.9b $1.3b $1.4b $1.7b $2.2b
Net Investment Purchase And Sale ($1.8b) ($1.2b) $536.3m ($721.7m)
Purchase Of Investment ($7.8b) ($6.0b) ($4.0b) ($4.1b)
Proceeds from repayment of available-for-sale investment securities $3.0b $2.0b $1.9b
Proceeds from repayment of held-to-maturity investment securities $1.9b $2.4b $1.5b
Proceeds from sale of available-for-sale investment securities $186.8m $10.2m $0 $12.4m $0 $257.5m $0 $0 $115.2m $19.5m
Proceeds from sale of loans previously classified as held for investment $0 $0 $301.4m $9.0m $0 $5.8m $6.0m
Sale Of Investment $6.0b $4.9b $4.6b $3.4b
Net cash used in investing activities ($593.4m) ($1.8b) ($599.2m) ($2.4b) ($1.7b) ($1.1b) ($3.0b) ($2.0b) ($1.7b) ($3.8b)
Proceeds from issuance of debt securities of consolidated trusts $0 $0 $258.2m $222.2m $588.2m $592.8m
Issuance Of Debt $61.8b $57.8b $68.9b $90.7b
Long Term Debt Issuance $61.8b $57.8b $68.9b $90.7b
Net Issuance Payments Of Debt $2.3b $1.7b $1.4b $3.6b
Net Long Term Debt Issuance $2.3b $1.7b $1.4b $3.6b
Payments to third parties on debt securities of consolidated trusts ($82.2m) ($101.2m) ($131.1m) ($181.5m) ($504.8m) ($480.3m) ($226.3m) ($102.0m) ($138.8m) ($226.8m)
Long Term Debt Payments ($59.5b) ($56.1b) ($67.5b) ($87.0b)
Repayment Of Debt ($59.5b) ($56.1b) ($67.5b) ($87.0b)
Proceeds from common stock issuance $553k $238k $7k $44k $56k $117k $192k $233k $287k $288k
Common Stock Issuance $192k $233k $287k $288k
Net Common Stock Issuance $192k $233k $287k ($12.6m)
Purchases of common stock ($9.3m) $0 $0 $0 ($235k) $0 $0 $0 $0 ($12.9m)
Common Stock Payments $0 $0 $0 ($12.9m)
Dividends paid on common and preferred stock ($24.1m) ($28.4m) ($37.9m) ($43.9m) ($50.6m) ($61.3m) ($68.2m) ($74.8m) ($86.1m) ($89.0m)
Cash Dividends Paid ($68.2m) ($74.8m) ($86.1m) ($89.0m)
Net Other Financing Charges ($1.8m) ($3.0m) ($5.4m) ($5.1m)
Net cash provided by financing activities ($560.0m) $1.7b $522.4m $2.6b $2.3b $534.6m $2.2b $1.6b $1.2b $3.6b
Net change in cash and cash equivalents $36.8m $123.2m $179.1m $429.6m ($125.2m) ($47.8m) $27.7m $135.3m ($92.9m)
Cash, cash equivalents, and restricted cash at beginning of period $302.0m $425.3m $604.4m $1.0b $908.8m $861.0m $888.7m $1.0b $931.1m
Change In Cash Supplemental As Reported ($47.8m) $27.7m $135.3m ($92.9m)
Income Tax Paid Supplemental Data $33.8m $48.0m $39.2m $0
Interest Paid Supplemental Data $269.3m $583.0m $820.0m $910.6m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.