06/10/2026 | Press release | Distributed by Public on 06/10/2026 14:19
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(Mark One)
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þ
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ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 FOR THE FISCAL YEAR ENDED DECEMBER 31, 2025
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OR
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o
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TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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Commission File No.: 001-31565
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A.
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Full title of the plan and the address of the plan, if different from that of the issuer named below:
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Flagstar Bank, National Association Employee Savings Plan
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(formerly known as the Flagstar Financial, Inc. Employee Savings Plan)
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B.
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Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
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Flagstar Bank, National Association
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102 Duffy Avenue
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Hicksville, NY 11801
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Report of Independent Registered Public Accounting Firm - Baker Tilly US, LLP
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2
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Report of Independent Registered Public Accounting Firm - KPMG LLP
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3
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Financial Statements:
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Statements of Net Assets Available for Plan Benefits as of December 31, 2025 and 2024
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4
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Statement of Changes in Net Assets Available for Plan Benefits for the Year Ended December 31, 2025
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5
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Notes to Financial Statements
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Note 1 - Description of Plan
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6
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Note 2 - Summary of Significant Accounting Policies
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6
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Note 3 - Investments
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6
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Note 4 - Risk and Uncertainties
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6
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Note 5 - Related Party and Parties-in-Interest Transactions
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6
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Note 6 - Income Tax Status
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7
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Note 7 - Plan Termination
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7
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Note 8 - Non-exempt Transactions
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7
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Note 9 - Subsequent Events
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7
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Supplemental Schedules*
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Schedule H, Line 4i - Schedule of Assets (Held at End of Year) as of December 31, 2025
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8
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Schedule H, Line 4a - Schedule of Delinquent Participant Contributions for the year ended December 31, 2025
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9
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* Schedules required by Form 5500, which are not applicable, have not been included.
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Exhibit Index
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10
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SIGNATURE
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11
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December 31,
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2025
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2024
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Assets:
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Investments at Fair Value (Note 3):
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Mutual funds
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$
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247,682,435
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$
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296,701,282
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Variable annuities
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43,322,552
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-
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Common stock fund of employer
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54,643,430
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45,756,216
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Collective trust funds
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583,211,015
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554,007,441
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Money market fund
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-
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1,004,706
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Total investments
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$
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928,859,432
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$
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897,469,645
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Receivables:
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Notes receivable from participants
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$
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16,285,263
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$
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20,287,201
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Due from broker
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-
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405
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Total receivables
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$
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16,285,263
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$
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20,287,606
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Total assets
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$
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945,144,695
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$
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917,757,251
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Net assets available for plan benefits
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$
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945,144,695
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$
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917,757,251
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Year Ended December 31,
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2025
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Additions to net assets attributed to:
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Investment income:
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Net appreciation in fair value of investments
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$
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147,947,895
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Dividends on investments
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7,246,525
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Total investment income
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$
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155,194,420
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Interest on notes receivable from participants
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1,260,675
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Other income
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45,038
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Contributions:
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Participant contributions
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$
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50,049,609
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Employer contributions
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21,264,559
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Rollover contributions
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10,553,878
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Total contributions
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$
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81,868,046
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Total additions
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$
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238,368,179
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Deductions from net assets attributed to:
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Benefits paid to participants
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$
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210,299,745
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Dividends paid to participants
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62,393
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Administrative expenses
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618,597
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Total deductions
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$
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210,980,735
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Net increase
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$
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27,387,444
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Net assets available for plan benefits at:
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Beginning of year
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$
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917,757,251
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End of year
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$
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945,144,695
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Years of Service:
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Percent Vested:
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Less than 1 year
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0%
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1 year but less than 2
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33%
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2 years but less than 3
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66%
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3 or more years
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100%
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December 31, 2025
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Description
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Total Fair Value
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Quoted Prices in Active Markets for Identical Assets (Level 1)
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Significant Other Observable Inputs (Level 2)
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Significant Unobservable Inputs (Level 3)
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Mutual Funds
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$
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247,682,435
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$
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247,682,435
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$
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-
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$
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-
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Common Stock
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54,643,430
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54,643,430
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-
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-
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Collective Trust Funds
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583,211,015
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-
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583,211,015
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-
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Variable Annuities
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43,322,552
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-
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43,322,552
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-
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Total investments at fair value
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$
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928,859,432
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$
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-
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$
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302,325,865
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$
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626,533,567
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$
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-
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December 31, 2024
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Description
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Total Fair Value
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Quoted Prices in Active Markets for Identical Assets (Level 1)
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Significant Other Observable Inputs (Level 2)
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Significant Unobservable Inputs (Level 3)
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Mutual Funds
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$
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296,701,282
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$
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296,701,282
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$
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-
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$
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-
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Common Stock
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45,756,216
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45,756,216
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-
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-
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Collective Trust Funds
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554,007,441
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-
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554,007,441
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-
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Money Market Fund
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1,004,706
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1,004,706
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-
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-
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Total investments at fair value
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$
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897,469,645
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$
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343,462,204
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$
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554,007,441
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$
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-
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Identity of issue
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Description of investment
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Number of shares/units
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Current value
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Common stock of employer:
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*Flagstar Bank, National Association
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Common Stock
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4,340,225
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$
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54,643,430
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Mutual funds:
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MFS
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New Discovery Value R6
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286,023
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$
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4,828,073
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Principal
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Smallcap Growth I R6
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384,984
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5,928,752
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Vanguard
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Institutional Index Instl Pl
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220,758
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121,873,655
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Vanguard
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Mid Cap Index I
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532,757
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42,290,272
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Vanguard
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Small Cap Index I
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193,082
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23,861,018
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Vanguard
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Total Bond Market Index Inst
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2,097,489
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20,492,463
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Vanguard
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Total Intl Stock Index Instl
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116,132
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18,823,825
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Victory
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Sycamore Established Value R6
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201,050
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9,059,322
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Dreyfus
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Government Cash Mgmt Instl
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525,055
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525,055
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Subtotal Mutual Funds
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$
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247,682,435
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Variable annuities:
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JPMorgan
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Equity Incm Fund
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2,496,828
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$
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30,627,000
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PGIM
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Total Return Bond Fund
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893,020
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12,695,552
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Subtotal Variable Annuities
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$
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43,322,552
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Collective trust funds:
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Fidelity
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Freedom 2010 Cmgld Pool D
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80,760
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$
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1,079,758
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Fidelity
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Freedom 2015 Cmgld Pool D
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46,238
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647,330
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Fidelity
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Freedom 2020 Cmgld Pool D
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688,696
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10,089,397
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Fidelity
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Freedom 2025 Cmgld Pool D
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2,254,787
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34,317,852
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Fidelity
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Freedom 2030 Cmgld Pool D
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3,615,305
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57,085,673
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Fidelity
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Freedom 2035 Cmgld Pool D
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3,848,302
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64,689,954
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Fidelity
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Freedom 2040 Cmgld Pool D
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3,012,368
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54,523,862
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Fidelity
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Freedom 2045 Cmgld Pool D
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2,946,299
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54,801,169
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Fidelity
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Freedom 2050 Cmgld Pool D
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2,487,056
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46,259,235
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Fidelity
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Freedom 2055 Cmgld Pool D
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1,750,970
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32,568,049
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Fidelity
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Freedom 2060 Cmgld Pool D
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905,701
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16,846,040
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Fidelity
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Freedom 2065 Cmgld Pool D
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324,084
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6,027,964
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Fidelity
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Freedom Cmgld Pool D
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772,174
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9,906,999
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Fidelity
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Growth Compy Commingled Pl
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1,626,288
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144,235,474
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MFS
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International Equity Cit Cl Ct
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306,409
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3,528,547
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MFS
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Mid Cap Growth Cit Cl Ct
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104,074
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1,819,572
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Reliance MetLife
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Gac Series 25053 Cl M
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390,752
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44,784,140
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Subtotal Collective Trust Funds
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$
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583,211,015
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Participant loans:
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*Participant loans
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3,188 loans to participants with interest rates of 2.25% to 9.50% with maturities up to 30 years
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$
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16,285,263
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$
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945,144,695
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Participant contributions transferred late to Plan
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Total that constitute nonexempt prohibited transactions
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Total fully corrected under VFCP and PTE 2002-51
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Check here if late participant loan repayments are included
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Contributions not corrected
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Contributions corrected outside VFCP(a)
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Contributions pending correction in VFCP
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$4,778 for the 2024 Plan year
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$-
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$4,778
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$-
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$-
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Exhibit No.
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Description of the Exhibit
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23.1
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Consent of Independent Registered Public Accounting Firm - Baker Tilly US, LLP
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23.2
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Consent of Independent Registered Public Accounting Firm - KPMG LLP
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DATE:
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June 10, 2026
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Flagstar Bank, National Association
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Employee Savings Plan
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/s/ Joanne Strucker
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Joanne Strucker
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Plan Administrator
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