FEDERAL HOME LOAN MORTGAGE CORP - Preferred (FMCKL)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FMCKL on OTC
Type / Class
Equity / Preferred
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
3,147,849
Holdings value
$45,517,896
% of all portfolios
0%
Number of holders
1
Number of buys
1
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FEDERAL HOME LOAN MORTGAGE CORP - Preferred (FMCKL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 3,147,849 $45,517,896 +$45,517,897 $14.46 1
2022 Q2 0 $0 -$6,300,000 0
2022 Q1 2,558,759 $6,300,000 +$10,110 $2.46 1
2021 Q4 2,554,653 $6,336,000 +$119,907 $2.48 1
2021 Q3 2,506,307 $6,140,000 +$3,133,425 $2.45 1
2021 Q2 1,227,264 $2,344,000 +$26,139 $1.91 1
2021 Q1 1,213,578 $5,461,000 -$149,397 $4.5 1
2020 Q4 1,246,778 $9,575,000 +$90,506 $7.68 1
2020 Q3 1,234,993 $10,609,000 -$58,414 $8.59 1
2020 Q2 1,241,793 $9,562,000 -$155,452 $7.7 1
2020 Q1 2,107,583 $12,392,000 -$1,620,604 $5.88 3
2019 Q4 1,218,504 $13,818,000 +$1,105,342 $11.34 2
2019 Q3 1,121,034 $13,564,000 +$6,234,651 $12.1 2
2019 Q2 605,750 $7,051,000 +$1,762,605 $11.64 1
2019 Q1 454,325 $3,635,000 +$1,777,196 $8 1
2018 Q4 232,200 $1,277,000 -$305,958 $5.5 1
2018 Q3 287,833 $1,281,000 +$8,612 $4.45 1
2018 Q2 285,898 $1,515,000 +$382,065 $5.3 1
2018 Q1 213,798 $971,000 -$194,383 $4.54 1
2017 Q4 256,598 $1,647,000 $6.42 1
2017 Q3 256,598 $1,360,000 -$9,010 $5.3 1
2017 Q2 258,298 $1,033,000 -$2,300 $4 1
2017 Q1 258,873 $1,362,000 +$411,684 $5.26 1
2016 Q4 180,625 $1,120,000 +$212,684 $6.2 1
2016 Q3 146,325 $351,000 -$600 $2.4 1
2016 Q2 146,575 $513,000 +$50,749 $3.5 1
2016 Q1 132,075 $297,000 +$26,310 $2.25 1
2015 Q4 120,375 $319,000 $2.65 1
2015 Q3 120,375 $442,000 +$47,734 $3.67 1
2015 Q2 107,375 $367,000 $3.42 1
2015 Q1 107,375 $429,000 -$2,497 $4 1
2014 Q4 108,000 $314,000 -$471,858 $2.91 1
2014 Q3 270,295 $2,146,000 -$425,000 $7.94 1
2014 Q2 315,795 $2,952,000 +$2,527,000 $9.34 2
2014 Q1 45,500 $423,000 -$1,584,000 $9.3 1