June 05, 2012
Fannie Mae RedemptionWASHINGTON, DC – Fannie Mae (FNMA/OTC) will redeem the principal amounts indicated for the following securities issues on the redemption dates indicated below at a redemption price equal to 100 percent of the principal amount redeemed, plus accrued interest thereon to the date of redemption:
|
Principal Amount Amount |
Security Type |
Interest Rate |
Maturity Date |
CUSIP
|
Redemption Date |
|
$500,000,000 |
MTN |
1.120% |
December 15, 2014 |
3135G0GK3 |
June 15, 2012 |
|
$35,000,000 |
MTN |
4.000% |
December 15, 2016 |
3136FJWG2 |
June 15, 2012 |
|
$50,000,000 |
MTN |
2.500% |
June 15, 2020 |
3136FMUN2 |
June 15, 2012 |
|
$100,000,000 |
MTN |
1.500% |
June 15, 2015 |
3136FMYF5 |
June 15, 2012 |
|
$25,000,000 |
MTN |
4.000% |
June 15, 2023 |
3136FRPE7 |
June 15, 2012 |
|
$25,000,000 |
MTN |
2.150% |
June 15, 2016 |
3136FRPT4 |
June 15, 2012 |
|
$50,000,000 |
MTN |
4.440% |
June 15, 2026 |
3136FRPU1 |
June 15, 2012 |
|
$25,000,000 |
MTN |
2.200% |
June 15, 2016 |
3136FRPX5 |
June 15, 2012 |
|
$60,000,000 |
MTN |
1.650% |
June 15, 2015 |
3136FRQL0 |
June 15, 2012 |
|
$25,000,000 |
MTN |
1.000% |
December 15, 2016 |
3136FRQS5 |
June 15, 2012 |
|
$25,000,000 |
MTN |
1.000% |
June 15, 2017 |
3136FRQT3 |
June 15, 2012 |
|
$150,000,000 |
MTN |
2.000% |
September 15, 2026 |
3136FRY23 |
June 15, 2012 |
|
$125,000,000 |
MTN |
1.300% |
December 15, 2016 |
3136FTQW2 |
June 15, 2012 |
|
$50,000,000 |
MTN |
1.500% |
December 15, 2021 |
3136FTRL5 |
June 15, 2012 |
|
$50,000,000 |
MTN |
1.400% |
December 15, 2016 |
3136FTRS0 |
June 15, 2012 |
|
$50,000,000 |
MTN |
1.600% |
December 15, 2016 |
3136FTRT8 |
June 15, 2012 |
|
$50,000,000 |
MTN |
1.500% |
December 15, 2016 |
3136FTRX9 |
June 15, 2012 |
|
$85,000,000 |
MTN |
1.500% |
December 15, 2026 |
3136FTRY7 |
June 15, 2012 |
|
$50,000,000 |
MTN |
0.750% |
December 15, 2014 |
3136FTSL4 |
June 15, 2012 |
|
$250,000,000 |
MTN |
6.318% |
June 15, 2027 |
31398ADU3 |
June 15, 2012 |