Skip to Page Content | Skip to Site Navigation | Skip to Section Navigation

Documents Prior to SEC Registration

Effective July 18, 2008, Freddie Mac voluntarily registered its common stock with the Securities and Exchange Commission (SEC) under Section 12(g) of the Securities Exchange Act of 1934 (the "1934 Act"), and began filing periodic reports with the SEC from that date. Reports from periods prior to that date, which were not filed with the SEC, can be accessed through this page.

Information Statements and Information Statement Supplements

Freddie Mac prepared Annual Information Statements in lieu of Forms 10-K and Information Statement Supplements in lieu of Forms 10-Q and 8-K. We provide access to an archive of historical Information Statements and Supplements.

Securities Trading Information

Freddie Mac's equity securities transaction and ownership reporting policies required directors and certain executives to file reports with Freddie Mac on their equity securities transactions. Those reports have now been replaced by Forms 3, 4, and 5, which are accessible in the SEC Filings section. We provide access to historical Securities Trading Information for each director and reporting executive.

The financial and other information contained in the documents that may be accessed on this page speaks only as of the date of those documents. The information could be out of date and no longer accurate. Freddie Mac does not undertake an obligation, and disclaims any duty, to update any of the information in those documents. Freddie Mac's future performance, including financial performance, is subject to various risks and uncertainties that could cause actual results to differ materially from expectations. The factors that could affect the company's future results are discussed more fully in our reports filed with the SEC.

Back to Top