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OCTOBER 2020 Medium Term Notes Callable Details

Values converted to US Dollars

CUSIP/​ISIN Trade Date Amount Issued Issued Currency Structure Coupon Coupon Profile Type Maturity Date Instrument Type Call/Put Call Type Next call Date
CUSIP/​ISIN: 3134GWYA8 Trade Date: 10/01/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/1 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/08/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/08/2022
CUSIP/​ISIN: 3134GWYB6 Trade Date: 10/01/2020 Amount Issued: 150,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/13/2027 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/13/2022
CUSIP/​ISIN: 3134GWYC4 Trade Date: 10/01/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5.5/.25 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 04/15/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYD2 Trade Date: 10/01/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 3.5/1 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 04/08/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/08/2022
CUSIP/​ISIN: 3134GWYB6 Trade Date: 10/01/2020 Amount Issued: 150,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/13/2027 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/13/2022
CUSIP/​ISIN: 3134GWYE0 Trade Date: 10/01/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 6/.5 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 10/15/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYF7 Trade Date: 10/01/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 13.5/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 04/13/2034 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/13/2022
CUSIP/​ISIN: 3134GWYG5 Trade Date: 10/01/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.2 Coupon Profile Type: Fixed Maturity Date: 10/07/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/07/2022
CUSIP/​ISIN: 3134GWYH3 Trade Date: 10/01/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 11/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/14/2031 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/14/2022
CUSIP/​ISIN: 3134GWYL4 Trade Date: 10/01/2020 Amount Issued: 45,000,000 Issued Currency: USD Structure: 8.5/1 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 04/19/2029 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/19/2022
CUSIP/​ISIN: 3134GWYM2 Trade Date: 10/02/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/29/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GWYN0 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5.5/1.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 04/15/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 04/15/2023
CUSIP/​ISIN: 3134GWYP5 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/1 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/21/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/21/2022
CUSIP/​ISIN: 3134GWYQ3 Trade Date: 10/02/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 2.5/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 04/06/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/06/2022
CUSIP/​ISIN: 3134GWYR1 Trade Date: 10/02/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 30/3 Coupon: 2.1 Coupon Profile Type: Fixed Maturity Date: 10/13/2050 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/13/2023
CUSIP/​ISIN: 3134GWYS9 Trade Date: 10/02/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYT7 Trade Date: 10/02/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/15/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWXW1 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYN0 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5.5/1.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 04/15/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 04/15/2023
CUSIP/​ISIN: 3134GWY34 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/15/2022
CUSIP/​ISIN: 3134GWYU4 Trade Date: 10/02/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8/.5 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 10/27/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GWYV2 Trade Date: 10/02/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 3.5/.5 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 04/15/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYS9 Trade Date: 10/05/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYU4 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8/.5 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 10/27/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GWYW0 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4.5/.5 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 04/30/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GWXX9 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWYX8 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/15/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GWYY6 Trade Date: 10/05/2020 Amount Issued: 75,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/22/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GWYZ3 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GWZ25 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 9/1 Coupon: 1.1 Coupon Profile Type: Fixed Maturity Date: 10/22/2029 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GWZ33 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/22/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GWZ41 Trade Date: 10/05/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 10/15/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWZ58 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 15/1 Coupon: 1.7 Coupon Profile Type: Fixed Maturity Date: 10/15/2035 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWZ66 Trade Date: 10/05/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/22/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GWYZ3 Trade Date: 10/05/2020 Amount Issued: 40,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GWZ74 Trade Date: 10/05/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/21/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/21/2022
CUSIP/​ISIN: 3134GWZ82 Trade Date: 10/05/2020 Amount Issued: 200,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/08/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/08/2022
CUSIP/​ISIN: 3134GWZ90 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/21/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/21/2022
CUSIP/​ISIN: 3134GWZA7 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/1 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/15/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWZB5 Trade Date: 10/05/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 3/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 10/13/2023 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/13/2022
CUSIP/​ISIN: 3134GWZC3 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5.5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 04/15/2026 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GWZD1 Trade Date: 10/05/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/15/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWZE9 Trade Date: 10/06/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 15/1 Coupon: 1.8 Coupon Profile Type: Fixed Maturity Date: 10/19/2035 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/19/2022
CUSIP/​ISIN: 3134GWZF6 Trade Date: 10/06/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/21/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/21/2022
CUSIP/​ISIN: 3134GWZG4 Trade Date: 10/06/2020 Amount Issued: 750,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/20/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/20/2022
CUSIP/​ISIN: 3134GWZH2 Trade Date: 10/06/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GWZJ8 Trade Date: 10/06/2020 Amount Issued: 75,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 10/15/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/15/2022
CUSIP/​ISIN: 3134GWZK5 Trade Date: 10/06/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/30/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GWZL3 Trade Date: 10/06/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GWYZ3 Trade Date: 10/06/2020 Amount Issued: 35,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GWZM1 Trade Date: 10/06/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GWZN9 Trade Date: 10/06/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GWZP4 Trade Date: 10/06/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GWZQ2 Trade Date: 10/06/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.1 Coupon Profile Type: Fixed Maturity Date: 10/29/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GWZR0 Trade Date: 10/06/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/21/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 10/21/2022
CUSIP/​ISIN: 3134GWZS8 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8/1 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 10/27/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GWZT6 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 3.5/.5 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 04/23/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/23/2022
CUSIP/​ISIN: 3134GWZU3 Trade Date: 10/07/2020 Amount Issued: 20,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 11/05/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/05/2022
CUSIP/​ISIN: 3134GWZV1 Trade Date: 10/07/2020 Amount Issued: 750,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 10/22/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GWZW9 Trade Date: 10/07/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2032 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GWZX7 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GWZY5 Trade Date: 10/07/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/23/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/23/2022
CUSIP/​ISIN: 3134GWZZ2 Trade Date: 10/07/2020 Amount Issued: 60,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GWZV1 Trade Date: 10/07/2020 Amount Issued: 150,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 10/22/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/22/2022
CUSIP/​ISIN: 3134GW3F1 Trade Date: 10/07/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3G9 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GW3H7 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/.75 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW3J3 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW3K0 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 13/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 10/25/2033 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/25/2022
CUSIP/​ISIN: 3134GW3L8 Trade Date: 10/07/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 9.5/.5 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 04/30/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW3M6 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 6/.5 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3N4 Trade Date: 10/07/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3P9 Trade Date: 10/07/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 15/.5 Coupon: 1.8 Coupon Profile Type: Fixed Maturity Date: 10/29/2035 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW3Q7 Trade Date: 10/07/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 8/.5 Coupon: 1.1 Coupon Profile Type: Fixed Maturity Date: 10/27/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW3R5 Trade Date: 10/07/2020 Amount Issued: 10,000,000 Issued Currency: USD Structure: 5.5/1.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 04/29/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 04/29/2023
CUSIP/​ISIN: 3134GW3S3 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 6.5/1 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 04/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW3T1 Trade Date: 10/07/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/.25 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3H7 Trade Date: 10/07/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/.75 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW3U8 Trade Date: 10/07/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW3T1 Trade Date: 10/07/2020 Amount Issued: 55,000,000 Issued Currency: USD Structure: 10/.25 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3V6 Trade Date: 10/08/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 15/.5 Coupon: 1.8 Coupon Profile Type: Fixed Maturity Date: 10/30/2035 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW3W4 Trade Date: 10/08/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW3T1 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 10/.25 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW3X2 Trade Date: 10/08/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW3Y0 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GWZX7 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW3Z7 Trade Date: 10/08/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4A1 Trade Date: 10/08/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 5/.75 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GW4B9 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW4C7 Trade Date: 10/08/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/27/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW3Y0 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW4D5 Trade Date: 10/08/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4E3 Trade Date: 10/08/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4F0 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW4G8 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW4B9 Trade Date: 10/08/2020 Amount Issued: 45,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW4H6 Trade Date: 10/08/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 4/1 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2024 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GW4J2 Trade Date: 10/08/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8/1 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 10/27/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4K9 Trade Date: 10/09/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4L7 Trade Date: 10/09/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/29/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW4M5 Trade Date: 10/09/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4N3 Trade Date: 10/09/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/.25 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4P8 Trade Date: 10/09/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 3.75/.5 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 07/29/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4Q6 Trade Date: 10/13/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW4R4 Trade Date: 10/13/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/27/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4S2 Trade Date: 10/13/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/.5 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 10/28/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4T0 Trade Date: 10/13/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/27/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4Q6 Trade Date: 10/13/2020 Amount Issued: 40,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW4U7 Trade Date: 10/13/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 11/12/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/12/2022
CUSIP/​ISIN: 3134GW4V5 Trade Date: 10/13/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8.25/1 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 01/29/2029 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW4W3 Trade Date: 10/13/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 7/.5 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/27/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4X1 Trade Date: 10/14/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 3.75/1 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 07/29/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW4Y9 Trade Date: 10/14/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 3.5/.5 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 04/29/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW4Z6 Trade Date: 10/14/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/27/2022
CUSIP/​ISIN: 3134GW5A0 Trade Date: 10/14/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2/.25 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 10/27/2022 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5B8 Trade Date: 10/14/2020 Amount Issued: 60,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/29/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GW5C6 Trade Date: 10/14/2020 Amount Issued: 40,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW5F9 Trade Date: 10/14/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 01/28/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW5H5 Trade Date: 10/14/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1.75 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW5J1 Trade Date: 10/14/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 3.5/1 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 04/29/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5K8 Trade Date: 10/14/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 4/.5 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/30/2024 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW5L6 Trade Date: 10/15/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW5H5 Trade Date: 10/15/2020 Amount Issued: 35,000,000 Issued Currency: USD Structure: 5/1.75 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW5M4 Trade Date: 10/15/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 13.5/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 04/27/2034 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5N2 Trade Date: 10/15/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW5N2 Trade Date: 10/15/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW5P7 Trade Date: 10/16/2020 Amount Issued: 350,000,000 Issued Currency: USD Structure: 5/.5 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5N2 Trade Date: 10/16/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/2 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 10/28/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW5Q5 Trade Date: 10/16/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4.25/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 01/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW5S1 Trade Date: 10/16/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2024 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW5R3 Trade Date: 10/16/2020 Amount Issued: 750,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5T9 Trade Date: 10/16/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 8/.5 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 10/30/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW5U6 Trade Date: 10/16/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW5V4 Trade Date: 10/16/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 11/10/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
CUSIP/​ISIN: 3134GW5W2 Trade Date: 10/16/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 7/.25 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW5R3 Trade Date: 10/16/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.7 Coupon Profile Type: Fixed Maturity Date: 10/27/2025 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5Y8 Trade Date: 10/16/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 8.5/1.5 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 03/29/2029 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 03/29/2023
CUSIP/​ISIN: 3134GW4C7 Trade Date: 10/19/2020 Amount Issued: 200,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/27/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW5Z5 Trade Date: 10/19/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 15/.25 Coupon: 1.8 Coupon Profile Type: Fixed Maturity Date: 11/16/2035 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW6A9 Trade Date: 10/19/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4.5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 04/29/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GW6B7 Trade Date: 10/20/2020 Amount Issued: 150,000,000 Issued Currency: USD Structure: 7/.5 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW6C5 Trade Date: 10/20/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW5S1 Trade Date: 10/20/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 10/28/2024 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 10/28/2022
CUSIP/​ISIN: 3134GW6C5 Trade Date: 10/20/2020 Amount Issued: 200,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW6D3 Trade Date: 10/20/2020 Amount Issued: 55,000,000 Issued Currency: USD Structure: 20/1 Coupon: 2 Coupon Profile Type: Fixed Maturity Date: 10/29/2040 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW6C5 Trade Date: 10/20/2020 Amount Issued: 35,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW6E1 Trade Date: 10/21/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 3/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 11/02/2023 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 11/02/2022
CUSIP/​ISIN: 3134GW6L5 Trade Date: 10/21/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 11.75/9M Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 07/30/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW6M3 Trade Date: 10/21/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 11/04/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GW6N1 Trade Date: 10/21/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 10/.25 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 11/05/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/05/2022
CUSIP/​ISIN: 3134GW6C5 Trade Date: 10/22/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW4C7 Trade Date: 10/22/2020 Amount Issued: 250,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/27/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/27/2022
CUSIP/​ISIN: 3134GW6P6 Trade Date: 10/22/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 6/.5 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 12/30/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW6C5 Trade Date: 10/22/2020 Amount Issued: 200,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/28/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 07/28/2022
CUSIP/​ISIN: 3134GW6Q4 Trade Date: 10/22/2020 Amount Issued: 75,000,000 Issued Currency: USD Structure: 10/1 Coupon: 1.3 Coupon Profile Type: Fixed Maturity Date: 11/12/2030 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/12/2022
CUSIP/​ISIN: 3134GW6R2 Trade Date: 10/22/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 12/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 11/05/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/05/2022
CUSIP/​ISIN: 3134GW6S0 Trade Date: 10/22/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/10/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
CUSIP/​ISIN: 3134GW6T8 Trade Date: 10/22/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/.5 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW6T8 Trade Date: 10/22/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/.5 Coupon: 0.9 Coupon Profile Type: Fixed Maturity Date: 10/29/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW6U5 Trade Date: 10/22/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 5/.25 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/19/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/19/2022
CUSIP/​ISIN: 3134GW6V3 Trade Date: 10/23/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 6/.5 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 10/30/2026 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/30/2022
CUSIP/​ISIN: 3134GW6W1 Trade Date: 10/23/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 9/.25 Coupon: 1.2 Coupon Profile Type: Fixed Maturity Date: 10/29/2029 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 07/29/2022
CUSIP/​ISIN: 3134GW6S0 Trade Date: 10/23/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/10/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
CUSIP/​ISIN: 3134GW6X9 Trade Date: 10/23/2020 Amount Issued: 10,000,000 Issued Currency: USD Structure: 7.5/1 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 05/16/2028 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW6E1 Trade Date: 10/26/2020 Amount Issued: 500,000,000 Issued Currency: USD Structure: 3/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 11/02/2023 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 11/02/2022
CUSIP/​ISIN: 3134GW6Y7 Trade Date: 10/26/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 11/1 Coupon: 1.4 Coupon Profile Type: Fixed Maturity Date: 11/17/2031 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/17/2022
CUSIP/​ISIN: 3134GW6Z4 Trade Date: 10/26/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4.75/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 05/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW7A8 Trade Date: 10/26/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 3.25/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 01/29/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW6Z4 Trade Date: 10/26/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4.75/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 05/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW7B6 Trade Date: 10/26/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 4.75/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 07/29/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 10/29/2022
CUSIP/​ISIN: 3134GW7C4 Trade Date: 10/27/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 25/1 Coupon: 2.1 Coupon Profile Type: Fixed Maturity Date: 11/10/2045 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
CUSIP/​ISIN: 3134GW7D2 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.5/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 05/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7E0 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.25/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 02/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7F7 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4/2 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 11/18/2024 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: 11/18/2022
CUSIP/​ISIN: 3134GW7G5 Trade Date: 10/28/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 2.5/.5 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 05/04/2023 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GW7H3 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.25/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 02/10/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
CUSIP/​ISIN: 3134GW7D2 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.5/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 05/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7J9 Trade Date: 10/28/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.25/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 02/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7K6 Trade Date: 10/28/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 3/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 11/03/2023 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 08/03/2022
CUSIP/​ISIN: 3134GW7E0 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.25/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 02/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7L4 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.75/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 08/04/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GW7M2 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 4/.5 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 11/19/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/19/2022
CUSIP/​ISIN: 3134GXAB0 Trade Date: 10/29/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 11.25/3M Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 02/19/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 02/19/2023
CUSIP/​ISIN: 3134GW7L4 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.75/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 08/04/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GW7D2 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 2.5/1 Coupon: 0.2 Coupon Profile Type: Fixed Maturity Date: 05/16/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/16/2022
CUSIP/​ISIN: 3134GW7L4 Trade Date: 10/29/2020 Amount Issued: 30,000,000 Issued Currency: USD Structure: 2.75/1 Coupon: 0.3 Coupon Profile Type: Fixed Maturity Date: 08/04/2023 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GXAC8 Trade Date: 10/29/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 7/.5 Coupon: 1 Coupon Profile Type: Fixed Maturity Date: 11/04/2027 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/04/2022
CUSIP/​ISIN: 3134GXAD6 Trade Date: 10/29/2020 Amount Issued: 300,000,000 Issued Currency: USD Structure: 6/.25 Coupon: 0.8 Coupon Profile Type: Fixed Maturity Date: 11/05/2026 Instrument Type: GLOBAL MTN Call/Put: C Call Type: Bermudan Next call Date: 08/05/2022
CUSIP/​ISIN: 3134GXAE4 Trade Date: 10/29/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/18/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GXAF1 Trade Date: 10/29/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/24/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/24/2022
CUSIP/​ISIN: 3134GXAG9 Trade Date: 10/29/2020 Amount Issued: 15,000,000 Issued Currency: USD Structure: 4.5/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 05/02/2025 Instrument Type: MTN Call/Put: C Call Type: European Next call Date: Date Passed
CUSIP/​ISIN: 3134GXAH7 Trade Date: 10/29/2020 Amount Issued: 100,000,000 Issued Currency: USD Structure: 4/1 Coupon: 0.4 Coupon Profile Type: Fixed Maturity Date: 11/12/2024 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 11/12/2022
CUSIP/​ISIN: 3134GXAK0 Trade Date: 10/30/2020 Amount Issued: 50,000,000 Issued Currency: USD Structure: 11.75/1 Coupon: 1.5 Coupon Profile Type: Fixed Maturity Date: 08/09/2032 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/09/2022
CUSIP/​ISIN: 3134GXAL8 Trade Date: 10/30/2020 Amount Issued: 40,000,000 Issued Currency: USD Structure: 4.25/1 Coupon: 0.5 Coupon Profile Type: Fixed Maturity Date: 02/18/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 11/18/2022
CUSIP/​ISIN: 3134GXAM6 Trade Date: 10/30/2020 Amount Issued: 25,000,000 Issued Currency: USD Structure: 5/1 Coupon: 0.6 Coupon Profile Type: Fixed Maturity Date: 11/10/2025 Instrument Type: MTN Call/Put: C Call Type: Bermudan Next call Date: 08/10/2022
Total Issuance: 17,755,000,000

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.

5Excludes privately placed offerings.