marketcaparena

FDXF

FedEx Freight Holding Company, Inc.

Company overview

Market capitalization
$16.79B
Employees
40,000
Latest publication
2026-09-29
About FedEx Freight Holding Company, Inc.

FedEx Freight Holding Company, Inc. provides less-than-truckload freight transportation services. It operates in the United States, Canada, Mexico, Puerto Rico, and the U.S. Virgin Islands. The company was incorporated in 2025 and is based in Memphis, Tennessee.

Company website

Financial statements

Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-05-31 · USDFY 20252025-05-31 · USDFY 20242024-05-31 · USDFY 20232023-05-31 · USD
Total Revenue8,795,000,000USD8,887,000,000USD9,424,000,000USD10,084,000,000USD
Other Operating Expenses1,031,000,000USD———
Operating Income540,000,000USD1,339,000,000USD1,753,000,000USD1,894,000,000USD
Total Other Income Expense Net344,000,000USD108,000,000USD326,000,000USD196,000,000USD
Interest Expense57,000,000USD———
Labor And Related Expense4,276,000,000USD———
Depreciation And Amortization512,000,000USD416,000,000USD404,000,000USD387,000,000USD
Income Before Tax884,000,000USD1,447,000,000USD2,079,000,000USD2,090,000,000USD
Income Tax Expense229,000,000USD368,000,000USD505,000,000USD509,000,000USD
Net Income655,000,000USD1,079,000,000USD1,574,000,000USD1,581,000,000USD
Cost Of Revenue—6,120,000,000USD6,150,000,000USD6,448,000,000USD
Gross Profit—2,767,000,000USD3,274,000,000USD3,636,000,000USD
Unclassified Operating Expenses—1,428,000,000USD1,521,000,000USD1,742,000,000USD
Total Operating Expenses—1,428,000,000USD1,521,000,000USD1,742,000,000USD
Interest Income—0USD330,000,000USD187,000,000USD
Net Interest Income—0USD330,000,000USD187,000,000USD
Tax Provision—368,000,000USD505,000,000USD509,000,000USD
Net Income From Continuing Ops—1,079,000,000USD1,574,000,000USD1,581,000,000USD
Ebit—1,447,000,000USD2,079,000,000USD2,090,000,000USD
Ebitda—1,863,000,000USD2,483,000,000USD2,477,000,000USD
Reconciled Depreciation—416,000,000USD404,000,000USD387,000,000USD
Source0001628280-26-053359DeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-02-28 · USDQ2 20262025-11-30 · USDQ1 20262025-08-31 · USDQ4 20252025-05-31 · USDQ3 20252025-02-28 · USDQ2 20252024-11-30 · USDQ1 20252024-08-31 · USD
Total Revenue1,991,000,000USD2,139,000,000USD2,198,000,000USD2,368,000,000USD2,089,000,000USD2,177,000,000USD2,253,000,000USD
Cost Of Revenue1,497,000,000USD1,567,000,000USD1,548,000,000USD1,550,500,000USD1,493,000,000USD1,542,000,000USD1,534,500,000USD
Gross Profit494,000,000USD572,000,000USD650,000,000USD817,500,000USD596,000,000USD635,000,000USD718,500,000USD
Unclassified Operating Expenses500,000,000USD506,000,000USD451,000,000USD363,000,000USD354,000,000USD346,000,000USD365,000,000USD
Total Operating Expenses500,000,000USD506,000,000USD451,000,000USD363,000,000USD354,000,000USD346,000,000USD365,000,000USD
Operating Income-6,000,000USD66,000,000USD199,000,000USD454,500,000USD242,000,000USD289,000,000USD353,500,000USD
Interest Expense12,000,000USD——————
Income Before Tax64,000,000USD164,000,000USD298,500,000USD258,500,000USD338,000,000USD392,000,000USD458,500,000USD
Income Tax Expense13,000,000USD44,000,000USD75,500,000USD69,000,000USD87,000,000USD98,000,000USD114,000,000USD
Net Income51,000,000USD120,000,000USD223,000,000USD189,500,000USD251,000,000USD294,000,000USD344,500,000USD
Ebit120,000,000USD218,000,000USD279,500,000USD459,500,000USD242,000,000USD—353,500,000USD
Ebitda233,000,000USD329,000,000USD390,500,000USD651,500,000USD355,000,000USD392,000,000USD464,500,000USD
Depreciation And Amortization113,000,000USD111,000,000USD111,000,000USD192,000,000USD113,000,000USD—111,000,000USD
Total Other Income Expense Net70,000,000USD98,000,000USD99,500,000USD-196,000,000USD96,000,000USD103,000,000USD105,000,000USD
Interest Income—94,000,000USD———101,000,000USD—
Net Interest Income—94,000,000USD———101,000,000USD—
Tax Provision—44,000,000USD———98,000,000USD—
Net Income From Continuing Ops—120,000,000USD———294,000,000USD—
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ4 20262026-05-31 · USDQ3 20262026-02-28 · USDQ2 20262025-11-30 · USDQ1 20262025-08-31 · USDQ4 20252025-05-31 · USDQ3 20252025-02-28 · USDQ2 20252024-11-30 · USDQ1 20252024-08-31 · USD
Total Assets6,884,000,000USD6,167,000,000USD6,223,000,000USD6,223,000,000USD————
Total Current Assets1,506,000,000USD1,241,000,000USD1,327,000,000USD1,327,000,000USD————
Other Current Assets83,000,000USD70,000,000USD72,000,000USD-109,000,000USD———-106,000,000USD
Other Non Current Assets29,000,000USD———————
Total Liabilities7,381,000,000USD———————
Total Current Liabilities993,000,000USD1,475,000,000USD861,000,000USD861,000,000USD————
Other Current Liabilities283,000,000USD———————
Other Non Current Liabilities5,000,000USD———————
Total Stockholder Equity-497,000,000USD-1,030,000,000USD3,596,000,000USD2,393,000,000USD———2,124,000,000USD
Total Equity Including Noncontrolling Interest-497,000,000USD———————
Long Term Debt4,484,000,000USD———————
Property Plant Equipment Net4,747,000,000USD4,317,000,000USD4,266,000,000USD4,266,000,000USD————
Goodwill602,000,000USD———————
Accounts Payable106,000,000USD173,000,000USD170,000,000USD170,000,000USD————
Short Term Debt172,000,000USD213,000,000USD201,000,000USD201,000,000USD————
Common Stock15,000,000USD———————
Retained Earnings-509,000,000USD-1,028,000,000USD3,596,000,000USD3,596,000,000USD————
Accumulated Other Comprehensive Income-3,000,000USD-2,000,000USD—2,393,000,000USD———2,124,000,000USD
Total Liab—7,197,000,000USD2,627,000,000USD-2,393,000,000USD———-2,124,000,000USD
Other Current Liab—1,089,000,000USD490,000,000USD490,000,000USD————
Good Will—602,000,000USD602,000,000USD602,000,000USD————
Cash—102,000,000USD92,000,000USD92,000,000USD————
Cash And Short Term Investments—102,000,000USD92,000,000USD109,000,000USD———106,000,000USD
Net Debt—5,248,000,000USD1,490,000,000USD1,490,000,000USD————
Short Long Term Debt Total—5,350,000,000USD1,582,000,000USD1,582,000,000USD————
Net Receivables—1,048,000,000USD1,140,000,000USD1,140,000,000USD————
Inventory—21,000,000USD23,000,000USD23,000,000USD————
Common Stock Shares Outstanding—121,500,000shares121,500,000shares121,500,000shares119,000,000shares122,000,000shares122,000,000shares123,676,000shares
Non Current Assets Total—4,926,000,000USD4,896,000,000USD4,896,000,000USD————
Non Current Liabilities Total—5,722,000,000USD1,766,000,000USD-2,393,000,000USD———-2,124,000,000USD
Non Currrent Assets Other—7,000,000USD28,000,000USD28,000,000USD————
Unclassified Non Current Liabilities—5,722,000,000USD1,709,000,000USD-2,393,000,000USD———-2,124,000,000USD
Property Plant Equipment Gross——7,992,000,000USD—————
Non Current Liabilities Other——57,000,000USD—————
Net Working Capital——466,000,000USD—————
Unclassified Current Assets———72,000,000USD————
Unclassified Equity———-3,596,000,000USD————
Source0001628280-26-053359DeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-05-31 · USDFY 20252025-05-31 · USDFY 20242024-05-31 · USDFY 20232023-05-31 · USD
Total Assets6,884,000,000USD6,201,000,000USD5,048,000,000USD—
Total Current Assets1,506,000,000USD1,345,000,000USD305,000,000USD—
Other Current Assets83,000,000USD43,000,000USD35,000,000USD—
Other Non Current Assets29,000,000USD———
Total Liabilities7,381,000,000USD———
Total Current Liabilities993,000,000USD766,000,000USD1,049,000,000USD—
Other Current Liabilities283,000,000USD———
Other Non Current Liabilities5,000,000USD———
Total Stockholder Equity-497,000,000USD3,733,000,000USD2,124,000,000USD—
Total Equity Including Noncontrolling Interest-497,000,000USD———
Long Term Debt4,484,000,000USD———
Property Plant Equipment Net4,747,000,000USD4,216,000,000USD4,134,000,000USD—
Goodwill602,000,000USD———
Accounts Payable106,000,000USD150,000,000USD141,000,000USD—
Short Term Debt172,000,000USD181,000,000USD167,000,000USD—
Common Stock15,000,000USD———
Retained Earnings-509,000,000USD3,733,000,000USD2,124,000,000USD—
Accumulated Other Comprehensive Income-3,000,000USD———
Total Liab—2,468,000,000USD2,924,000,000USD—
Other Current Liab—435,000,000USD741,000,000USD—
Good Will—602,000,000USD602,000,000USD—
Cash—109,000,000USD106,000,000USD—
Cash And Short Term Investments—109,000,000USD106,000,000USD—
Net Debt—1,327,000,000USD1,345,000,000USD—
Short Long Term Debt Total—1,436,000,000USD1,451,000,000USD—
Net Receivables—1,172,000,000USD139,000,000USD—
Inventory—21,000,000USD25,000,000USD—
Property Plant Equipment Gross—7,912,000,000USD7,713,000,000USD—
Common Stock Shares Outstanding—121,500,000shares125,500,000shares128,000,000shares
Non Current Assets Total—4,856,000,000USD4,743,000,000USD—
Non Current Liabilities Total—1,702,000,000USD1,875,000,000USD—
Non Current Liabilities Other—52,000,000USD46,000,000USD—
Non Currrent Assets Other—38,000,000USD7,000,000USD—
Net Working Capital—579,000,000USD-744,000,000USD—
Unclassified Non Current Liabilities—1,650,000,000USD1,829,000,000USD—
Capital Stock——0USD—
Source0001628280-26-053359DeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-05-31 · USDFY 20242024-05-31 · USDFY 20232023-05-31 · USD
Net Income655,000,000USD1,574,000,000USD1,581,000,000USD
Depreciation449,000,000USD404,000,000USD387,000,000USD
Stock Based Compensation13,000,000USD12,000,000USD13,000,000USD
Other Non Cash Items-237,000,000USD168,000,000USD302,000,000USD
Unclassified Operating Cash Flow-713,000,000USD——
Operating Cash Flow167,000,000USD——
Capital Expenditures-379,000,000USD-461,000,000USD-558,000,000USD
Unclassified Investing Cash Flow16,000,000USD——
Investing Cash Flow-363,000,000USD——
Net Debt Issuance4,245,000,000USD——
Unclassified Financing Cash Flow-3,910,000,000USD——
Financing Cash Flow335,000,000USD——
Effect Of Forex Changes On Cash3,000,000USD——
Change In Cash142,000,000USD13,000,000USD-5,000,000USD
End Cash Flow251,000,000USD——
Change To Account Receivables—-9,000,000USD23,000,000USD
Change In Working Capital—-617,000,000USD-531,000,000USD
Total Cash From Operating Activities—1,541,000,000USD1,752,000,000USD
Free Cash Flow—1,080,000,000USD1,194,000,000USD
Total Cashflows From Investing Activities—-403,000,000USD-502,000,000USD
Net Borrowings—-1,000,000USD-1,000,000USD
Total Cash From Financing Activities—-1,126,000,000USD-1,256,000,000USD
Begin Period Cash Flow—93,000,000USD98,000,000USD
End Period Cash Flow—106,000,000USD93,000,000USD
Other Cashflows From Investing Activities—58,000,000USD56,000,000USD
Other Cashflows From Financing Activities—-1,125,000,000USD-1,255,000,000USD
Source0001628280-26-053359DeterministicFinalLegacy providerLegacyLegacy providerLegacy

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-02-28 · USDQ1 20262025-08-31 · USDQ3 20252025-02-28 · USDQ1 20252024-08-31 · USD
Net Income51,000,000USD223,000,000USD251,000,000USD344,500,000USD
Depreciation113,000,000USD111,000,000USD113,000,000USD111,000,000USD
Stock Based Compensation3,000,000USD3,500,000USD2,000,000USD3,000,000USD
Other Non Cash Items8,000,000USD59,500,000USD-29,000,000USD-3,000,000USD
Change To Account Receivables-960,000,000USD-500,000USD-13,000,000USD-1,000,000USD
Change In Working Capital-493,000,000USD18,500,000USD-83,000,000USD-90,500,000USD
Total Cash From Operating Activities-318,000,000USD415,500,000USD254,000,000USD365,000,000USD
Capital Expenditures-152,000,000USD-66,000,000USD-129,000,000USD-115,000,000USD
Free Cash Flow-470,000,000USD349,500,000USD125,000,000USD250,000,000USD
Total Cashflows From Investing Activities-149,000,000USD-62,000,000USD-126,000,000USD-112,500,000USD
Total Cash From Financing Activities473,000,000USD-362,000,000USD-112,000,000USD-265,000,000USD
Change In Cash102,000,000USD—90,000,000USD—
End Period Cash Flow102,000,000USD—90,000,000USD—
Other Cashflows From Investing Activities3,000,000USD4,000,000USD3,000,000USD2,500,000USD
Other Cashflows From Financing Activities480,000,000USD-362,000,000USD-112,000,000USD-265,000,000USD
Unclassified Financing Cash Flow-7,000,000USD———
Begin Period Cash Flow—90,000,000USD——
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
FY 2026Yearly · 2026-05-31GeographyInternational243,000,000USD0001628280-26-053359
FY 2026Yearly · 2026-05-31GeographyUnited States8,552,000,000USD0001628280-26-053359
FY 2026Yearly · 2026-05-31ProductEconomy2,827,000,000USD0001628280-26-053359
FY 2026Yearly · 2026-05-31ProductOther408,000,000USD0001628280-26-053359
FY 2026Yearly · 2026-05-31ProductPriority5,560,000,000USD0001628280-26-053359
FY 2025Yearly · 2025-05-31GeographyInternational247,000,000USD0001628280-26-053359
FY 2025Yearly · 2025-05-31GeographyUnited States8,645,000,000USD0001628280-26-053359
FY 2025Yearly · 2025-05-31ProductEconomy2,891,000,000USD0001628280-26-053359
FY 2025Yearly · 2025-05-31ProductOther417,000,000USD0001628280-26-053359
FY 2025Yearly · 2025-05-31ProductPriority5,584,000,000USD0001628280-26-053359
FY 2024Yearly · 2024-05-31GeographyInternational266,000,000USD0001628280-26-053359
FY 2024Yearly · 2024-05-31GeographyUnited States9,158,000,000USD0001628280-26-053359
FY 2024Yearly · 2024-05-31ProductEconomy3,034,000,000USD0001628280-26-053359
FY 2024Yearly · 2024-05-31ProductOther433,000,000USD0001628280-26-053359
FY 2024Yearly · 2024-05-31ProductPriority5,957,000,000USD0001628280-26-053359

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.