Kevin Cheng’s Form 3 reports zero directly held non-derivative securities for the event date October 1, 2026. That is what the filing states for that date; it is not a current portfolio update or a statement about indirect holdings.
What the filing reports
In the non-derivative securities table, the Form 3 lists “No Securities Owned,” gives the amount as 0, and marks the ownership form “D,” meaning direct. The filing identifies Cheng as an officer with the title “SVP-Investments & Capital Mkts.” Read the Form 3 reproduction attributed to SEC EDGAR.
The event date is October 1, 2026. The reproduction says the filing was accepted by SEC EDGAR on October 6, 2026. This is a dated disclosure, not a real-time account of Cheng’s holdings.
What “directly held” does—and does not—mean
The reported zero applies to the direct, non-derivative entry. The form has separate tables for non-derivative and derivative securities, so this entry should not be broadened into a claim that Cheng had no securities of any kind or no indirect interests. The form itself instructs filers: “Reminder: Report on a separate line for each class of securities beneficially owned directly or indirectly.”
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Nor does an October 1 event-date filing establish whether Cheng acquired or disposed of securities afterward. It answers what this Form 3 reports for its stated event date, not what he owns today.
Independent reader supportYour contribution helps us test, update, and keep practical guides available for everyone.Who Kevin Cheng is at Freddie Mac
Freddie Mac’s leadership profile describes Cheng as senior vice president and head of Investments & Capital Markets, and a member of the company’s senior operating committee. Freddie Mac’s official leadership profile says he oversees liquidity, financing, credit risk transfer, derivative activities, and the company’s portfolio of single-family securities and loan investments, among other enterprise functions.
Rank #2
Freddie Mac says Cheng previously led Mortgage Assets & Risk Transfer and earlier served as a vice president of trading in its Retained Portfolio, managing the agency mortgage-backed securities portfolio. The company says he joined in 2014 after working in MBS trading as a managing director at Citigroup Global Markets.
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