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2005 Total Debt Outstanding by Month

(Values in Billions)

Debt Securities Product January February March April May June July August September October November December
Short Term Reference Bills® &
Discount Notes
182.6 175.3 186.6 182.3 196.4 189.2 175.3 177.7 178.8 185.8 189.2 183.4
                           
Medium Term Notes Global Floating Rate 12.0 12.0 12.0 12.0 12.0 12.0 12.0 12.0 8.0 3.0 0.0 0.0
  Syndicated Callable 30.4 29.4 29.4 25.4 25.4 25.4 25.0 23.2 17.8 15.8 14.0 12.0
  MTN Callable 186.9 179.9 173.0 171.6 166.4 170.9 175.7 179.8 187.6 196.0 196.1 197.8
  Callables with Expired Options 29.8 36.4 42.2 47.6 50.3 50.0 49.6 52.7 58.2 59.2 61.8 63.5
  MTN Other 22.1 19.0 19.9 23.8 23.6 32.1 35.4 41.3 44.8 44.7 46.4 50.4
  Freddie Notes 18.0 17.7 17.7 17.8 17.8 17.9 17.9 18.1 18.1 18.3 18.5 18.7
  Total MTN 299.2 294.4 294.2 298.2 295.5 308.3 315.6 327.0 334.5 337.1 336.9 342.4
                           
Reference Notes USD Reference Notes® 206.9 204.4 207.4 207.4 208.4 207.1 206.6 202.6 201.9 209.9 208.9 212.9
  €Reference Notes® 32.9 32.9 32.9 32.9 29.1 29.1 29.1 29.1 29.1 29.1 29.1 29.1
  Total Reference Notes® 239.8 237.3 240.3 240.3 237.4 236.1 235.7 231.7 231.0 239.0 238.0 242.0
                           
  Subordinated Debt 5.9 5.9 5.9 5.9 5.9 5.9 5.9 5.9 5.9 5.9 5.9 5.9
                           
Total Debt Outstanding   727.5 712.9 727.0 726.7 735.2 739.6 732.4 742.3 750.2 767.7 770.0 773.6
 
1All figures are estimates based on Freddie Mac's unaudited internal reports and are subject to change. Totals may not recalculate due to rounding.
2All figures represent face amounts in USD. These figures could differ significantly from proceeds, amortized principal amount and book value figures, particularly for zero-coupon securities.
3Effective date for inclusion in the reported period is trade date.
4For non-dollar denominated instruments, the U.S. Dollar amounts reflected in the table above are based on the exchange rate at issuance.