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CUSIP Detail

CUSIP: 31339QAC3

ISIN: XS0121336266

Instrument Type: Euro Reference Notes

Issue Date: 06/22/2001

Amount Issued: €1,000,000,000

Currency: EUR

First Payment: 01/15/2001

Underwriters:

  • SALOMON SMITH BARNEY HOLDINGS
  • DEUTSCHE BANK AG
  • CREDIT SUISSE SECURITIES (USA) LLC

Original Coupon: 5.25000%

Call Type: N/A

Issue Price: 101.78

Lockout Period: N/A

Denomination: €1,000

Maturity Date: 01/15/2006

Current Coupon: 5.25000%

Pricing Supplement for 31339QAC3