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Freddie Mac Debt Securities Redemptions

Freddie Mac will redeem the principal amounts indicated for the following securities on the redemption dates set forth below at a redemption price equal to 100 percent of the principal amount redeemed, plus accrued interest to the date of redemption.

Last Updated: 01/17/2020 12:02:13 PM.

Trade Date Redemption Date CUSIP Quantity
Trade Date1/17/2020 Redemption Date1/25/2020 CUSIP3134GTZF3 Quantity$180,000,000.00
Trade Date1/17/2020 Redemption Date1/25/2020 CUSIP3134GTZG1 Quantity$180,000,000.00
Trade Date1/17/2020 Redemption Date1/25/2020 CUSIP3134GAPM0 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBKA9 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBMK5 Quantity$75,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBJY9 Quantity$65,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBWB4 Quantity$10,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBZU9 Quantity$30,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBKN1 Quantity$500,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBYJ5 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBZX3 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBZT2 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/26/2020 CUSIP3134GBDW9 Quantity$50,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9H34 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GARR7 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBEE8 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBHC9 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9XH5 Quantity$20,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9U39 Quantity$20,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9K89 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBYZ9 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9S40 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBGR7 Quantity$50,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBQ21 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBWG3 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9H83 Quantity$30,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBWK4 Quantity$30,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBHD7 Quantity$10,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBHB1 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GAUG7 Quantity$30,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9T31 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBJZ6 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBXA5 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GARC0 Quantity$50,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GANW0 Quantity$50,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9L54 Quantity$40,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9L47 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9H67 Quantity$40,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9R33 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBQ39 Quantity$75,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBKY7 Quantity$30,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9P84 Quantity$10,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBJA1 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9P27 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBYV8 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBZN5 Quantity$25,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9K22 Quantity$70,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GBYQ9 Quantity$90,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9Q59 Quantity$45,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134G9XR3 Quantity$15,000,000.00
Trade Date1/17/2020 Redemption Date1/27/2020 CUSIP3134GSRU1 Quantity$35,000,000.00
Trade Date  Redemption Date  CUSIP  Quantity$2,370,000,000.00

This announcement is not an offer to sell any Freddie Mac securities. Offers for any given security are made only through applicable offering circulars and related supplements, which incorporate Freddie Mac's Annual Report on Form 10-K for the year ended December 31, 2017, filed with the Securities and Exchange Commission ("SEC") on February 15, 2018; all other reports Freddie Mac filed with the SEC pursuant to Section 13(a) of the Securities Exchange Act of 1934 ("Exchange Act") since December 31, 2017, excluding any information "furnished" to the SEC on Form 8-K; and all documents that Freddie Mac files with the SEC pursuant to Sections 13(a), 13(c) or 14 of the Exchange Act, excluding any information "furnished" to the SEC on Form 8-K.

Freddie Mac makes home possible for millions of families and individuals by providing mortgage capital to lenders. Since our creation by Congress in 1970, we've made housing more accessible and affordable for homebuyers and renters in communities nationwide. We are building a better housing finance system for homebuyers, renters, lenders, investors and taxpayers. Learn more at FreddieMac.com, Twitter @FreddieMac and Freddie Mac's blog.