The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number: 3235-0006
Expires: July 31, 2015
Estimated average burden
hours per response: 23.8

Report for the Calendar Year or Quarter Ended: 06-30-2022
Check here if Amendment   Amendment Number:
This Amendment (Check only one.):   is a restatement.
  adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Ally Financial Inc.
Address: ALLY DETROIT CENTER
500 WOODWARD AVE. FLOOR 10
DETROIT , MI48226
Form 13F File Number: 028-14534

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:
Name: Jeffrey A. Belisle
Title: Corporate Secretary
Phone: 313-656-6132
Signature, Place, and Date of Signing:
/S/ Jeffrey A. Belisle Detroit , MI 08-10-2022
[Signature] [City, State] [Date]
Report Type (Check only one.):
X 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)
  13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)
  13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)
Form 13F Summary Page
Report Summary:
Number of Other Included Managers: 2
Form 13F Information Table Entry Total: 116
Form 13F Information Table Value Total: 733,213
(thousands)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
028-14536 Ally Insurance Holdings Inc.
028-14535 Motors Insurance Corp.

List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
No. Form 13F File Number Name
1 028-14536 Ally Insurance Holdings Inc.
2 028-14535 Motors Insurance Corp.


SEC FORM 13F-HR

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
Expires: July 31, 2015
Estimated average burden
hours per response: 23.8

COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
3m Co COM 88579Y101 5,176 40,000 SH DFND 1,2 40,000 0 0
Abbott Laboratories COM 002824100 978 9,000 SH DFND 1,2 9,000 0 0
Abbvie Inc COM 00287Y109 1,685 11,000 SH DFND 1 11,000 0 0
Adobe Inc COM 00724F101 6,955 19,000 SH DFND 1,2 19,000 0 0
Advanced Micro Devices Inc COM 007903107 2,141 28,000 SH DFND 1,2 28,000 0 0
Air Products And Chemicals Inc COM 009158106 8,417 35,000 SH DFND 1,2 35,000 0 0
Airspan Networks Holdings Inc. COM 00951K104 31 10,295 SH DFND 10,295 0 0
Alibaba Group Holding Ltd ADR 01609W102 8,526 75,000 SH DFND 1,2 75,000 0 0
Alignment Healthcare Inc COM 01625V104 1,726 151,302 SH DFND 151,302 0 0
Alphabet Inc COM 02079K305 19,613 9,000 SH DFND 1,2 9,000 0 0
Amazon.com Inc COM 023135106 25,490 240,000 SH DFND 1,2 240,000 0 0
American Express Co COM 025816109 832 6,000 SH DFND 1,2 6,000 0 0
Anheuser-busch Inbev Sa/nv ADR 03524A108 5,665 105,000 SH DFND 1,2 105,000 0 0
Apple Inc COM 037833100 6,836 50,000 SH DFND 1,2 50,000 0 0
Applied Materials Inc COM 038222105 1,911 21,000 SH DFND 1,2 21,000 0 0
At&t Inc COM 00206R102 14,567 695,000 SH DFND 1,2 695,000 0 0
Autodesk Inc COM 052769106 860 5,000 SH DFND 1,2 5,000 0 0
Baidu Inc ADR 056752108 1,636 11,000 SH DFND 1,2 11,000 0 0
Bank Of America Corp COM 060505104 2,988 96,000 SH DFND 1,2 96,000 0 0
Baxter International Inc COM 071813109 1,349 21,000 SH DFND 1,2 21,000 0 0
Blackrock Inc COM 09247X101 2,923 4,800 SH DFND 1,2 4,800 0 0
Blackstone Inc COM 09260D107 2,007 22,000 SH DFND 1,2 22,000 0 0
Boeing Co/the COM 097023105 15,586 114,000 SH DFND 1,2 114,000 0 0
Booking Holdings Inc COM 09857L108 2,449 1,400 SH DFND 1,2 1,400 0 0
Borgwarner Inc COM 099724106 1,001 30,000 SH DFND 1,2 30,000 0 0
Boston Scientific Corp COM 101137107 485 13,000 SH DFND 1,2 13,000 0 0
Broadcom Inc COM 11135F101 3,886 8,000 SH DFND 1,2 8,000 0 0
Broadway Finl Corp Del COM 111444105 596 561,797 SH DFND 561,797 0 0
Brown-forman Corp COM 115637209 2,456 35,000 SH DFND 1,2 35,000 0 0
Capital One Financial Corp COM 14040H105 1,042 10,000 SH DFND 1,2 10,000 0 0
Cardinal Health Inc COM 14149Y108 784 15,000 SH DFND 1 15,000 0 0
Carnival Corp COM 143658300 1,081 125,000 SH DFND 1,2 125,000 0 0
Caterpillar Inc COM 149123101 2,324 13,000 SH DFND 1,2 13,000 0 0
Chipotle Mexican Grill Inc COM 169656105 915 700 SH DFND 1,2 700 0 0
Cisco Systems Inc COM 17275R102 5,202 122,000 SH DFND 1,2 122,000 0 0
Citigroup Inc COM 172967424 13,107 285,000 SH DFND 1,2 285,000 0 0
Comcast Corp COM 20030N101 8,751 223,000 SH DFND 1,2 223,000 0 0
Conagra Brands Inc COM 205887102 5,307 155,000 SH DFND 1 155,000 0 0
Cummins Inc COM 231021106 2,322 12,000 SH DFND 1,2 12,000 0 0
Danaher Corp COM 235851102 2,561 10,100 SH DFND 1,2 10,100 0 0
DUPONT DE NEMOURS INC COM 26614N102 2,223 40,000 SH DFND 1,2 40,000 0 0
Ebay Inc COM 278642103 500 12,000 SH DFND 1,2 12,000 0 0
Ecolab Inc COM 278865100 3,844 25,000 SH DFND 1,2 25,000 0 0
Elanco Animal Health Inc COM 28414H103 1,178 60,000 SH DFND 1,2 60,000 0 0
Electronic Arts Inc COM 285512109 2,190 18,000 SH DFND 1,2 18,000 0 0
Emerson Electric Co COM 291011104 2,863 36,000 SH DFND 1,2 36,000 0 0
Estee Lauder Cos Inc/the COM 518439104 1,019 4,000 SH DFND 1,2 4,000 0 0
Fedex Corp COM 31428X106 9,068 40,000 SH DFND 1,2 40,000 0 0
Fidelity National Information Services Inc COM 31620M106 2,933 32,000 SH DFND 1,2 32,000 0 0
Fiserv Inc COM 337738108 4,271 48,000 SH DFND 1,2 48,000 0 0
Franklin Resources Inc COM 354613101 3,263 140,000 SH DFND 2 140,000 0 0
General Electric Co COM 369604301 6,526 102,500 SH DFND 1,2 102,500 0 0
General Motors Co COM 37045V100 953 30,000 SH DFND 1,2 30,000 0 0
Gilead Sciences Inc COM 375558103 4,327 70,000 SH DFND 1 70,000 0 0
Global Payments Inc COM 37940X102 3,153 28,500 SH DFND 1,2 28,500 0 0
Goldman Sachs Group Inc/the COM 38141G104 2,376 8,000 SH DFND 1,2 8,000 0 0
Hca Healthcare Inc COM 40412C101 370 2,200 SH DFND 1,2 2,200 0 0
Honeywell International Inc COM 438516106 3,650 21,000 SH DFND 1,2 21,000 0 0
Intel Corp COM 458140100 4,976 133,000 SH DFND 1,2 133,000 0 0
Ishares 20 Year Treasury Bond Etf ETF 464287432 44,224 385,000 SH DFND 1,2 385,000 0 0
Ishares China Large-cap Etf ETF 464287184 27,331 806,000 SH DFND 1 806,000 0 0
Ishares Core S&p Small-cap Etf ETF 464287804 24,119 261,000 SH DFND 1,2 261,000 0 0
Ishares Russell 2000 Etf ETF 464287655 18,291 108,000 SH DFND 1,2 108,000 0 0
Jpmorgan Chase & Co COM 46625H100 12,500 111,000 SH DFND 1,2 111,000 0 0
KKR & Co Inc COM 48251W104 2,268 49,000 SH DFND 1,2 49,000 0 0
Kraft Heinz Co/the COM 500754106 4,996 131,000 SH DFND 1,2 131,000 0 0
Linde Plc COM G5494J103 1,150 4,000 SH DFND 1,2 4,000 0 0
Lowe's Cos Inc COM 548661107 1,223 7,000 SH DFND 1,2 7,000 0 0
Mastercard Inc COM 57636Q104 9,780 31,000 SH DFND 1,2 31,000 0 0
Materials Select Sector Spdr Fund ETF 81369Y100 4,416 60,000 SH DFND 1,2 60,000 0 0
Mcdonald's Corp COM 580135101 1,019 4,129 SH DFND 1,2 4,129 0 0
Mdh Acquisition Corp COM 55283P106 4,915 500,000 SH DFND 500,000 0 0
Medtronic Plc COM G5960L103 4,039 45,000 SH DFND 1,2 45,000 0 0
Meta Platforms Inc COM 30303M102 23,381 145,000 SH DFND 1,2 145,000 0 0
Microchip Technology Inc COM 595017104 871 15,000 SH DFND 1,2 15,000 0 0
Micron Technology Inc COM 595112103 995 18,000 SH DFND 1,2 18,000 0 0
Microsoft Corp COM 594918104 13,869 54,000 SH DFND 1,2 54,000 0 0
Netflix Inc COM 64110L106 6,470 37,000 SH DFND 1,2 37,000 0 0
Nike Inc COM 654106103 4,701 46,000 SH DFND 1,2 46,000 0 0
Nov Inc COM 62955J103 423 25,000 SH DFND 1 25,000 0 0
Nvidia Corp COM 67066G104 3,790 25,000 SH DFND 1,2 25,000 0 0
Paypal Holdings Inc COM 70450Y103 6,565 94,000 SH DFND 1,2 94,000 0 0
Pnc Financial Services Group Inc/the COM 693475105 1,262 8,000 SH DFND 1,2 8,000 0 0
Qualcomm Inc COM 747525103 894 7,000 SH DFND 1,2 7,000 0 0
Royal Caribbean Cruises Ltd COM V7780T103 768 22,000 SH DFND 1,2 22,000 0 0
Salesforce Inc COM 79466L302 9,902 60,000 SH DFND 1,2 60,000 0 0
Schlumberger Nv COM 806857108 2,146 60,000 SH DFND 1 60,000 0 0
Spdr S&p 500 Etf Trust ETF 78462F103 58,473 155,000 SH DFND 1,2 155,000 0 0
Spdr S&p Biotech Etf ETF 78464A870 6,313 85,000 SH DFND 1,2 85,000 0 0
Starbucks Corp COM 855244109 3,438 45,000 SH DFND 1,2 45,000 0 0
State Street Corp COM 857477103 2,651 43,000 SH DFND 1,2 43,000 0 0
Target Corp COM 87612E106 847 6,000 SH DFND 1,2 6,000 0 0
Texas Instruments Inc COM 882508104 2,458 16,000 SH DFND 1,2 16,000 0 0
Thermo Fisher Scientific Inc COM 883556102 1,576 2,900 SH DFND 1,2 2,900 0 0
Tjx Cos Inc/the COM 872540109 838 15,000 SH DFND 1,2 15,000 0 0
Truist Financial Corp COM 89832Q109 1,328 28,000 SH DFND 1,2 28,000 0 0
Uber Technologies Inc COM 90353T100 4,338 212,000 SH DFND 1,2 212,000 0 0
Under Armour Inc COM 904311107 833 100,000 SH DFND 1 100,000 0 0
United Parcel Service Inc COM 911312106 2,556 14,000 SH DFND 1,2 14,000 0 0
Unitedhealth Group Inc COM 91324P102 2,568 5,000 SH DFND 1,2 5,000 0 0
Us Bancorp COM 902973304 2,025 44,000 SH DFND 1,2 44,000 0 0
Vanguard Ftse All-world Ex-us Etf ETF 922042775 32,524 651,000 SH DFND 1 651,000 0 0
Vanguard Ftse Developed Markets Etf ETF 921943858 19,992 490,000 SH DFND 1 490,000 0 0
Vanguard Ftse Emerging Markets Etf ETF 922042858 19,576 470,000 SH DFND 1 470,000 0 0
Vanguard Ftse Europe Etf ETF 922042874 11,885 225,000 SH DFND 1 225,000 0 0
Vanguard Real Estate Etf ETF 922908553 17,493 192,000 SH DFND 1,2 192,000 0 0
Verizon Communications Inc COM 92343V104 14,718 290,000 SH DFND 1,2 290,000 0 0
Viatris Inc COM 92556V106 1,602 152,991 SH DFND 1 152,991 0 0
Visa Inc COM 92826C839 11,617 59,000 SH DFND 1,2 59,000 0 0
Volkswagen Ag ADR 928662600 838 46,000 SH DFND 1,2 46,000 0 0
Walgreens Boots Alliance Inc COM 931427108 4,169 110,000 SH DFND 1,2 110,000 0 0
Walt Disney Co/the COM 254687106 9,062 96,000 SH DFND 1,2 96,000 0 0
Warner Bros Discovery Inc COM 934423104 2,256 168,132 SH DFND 1,2 168,132 0 0
Wells Fargo & Co COM 949746101 5,876 150,000 SH DFND 1,2 150,000 0 0
Workday Inc COM 98138H101 698 5,000 SH DFND 1,2 5,000 0 0
Wynn Resorts Ltd COM 983134107 2,507 44,000 SH DFND 1,2 44,000 0 0