Pricing Supplement Dated March 02, 2016
(To Offering Circular dated December 2, 2015)

Universal Debt Facility

This Pricing Supplement relates to the Debt Securities described below (the "Notes"). You should read it together with the Offering Circular dated December 2, 2015 (the "Offering Circular"), relating to the Universal Debt Facility of the Federal National Mortgage Association ("Fannie Mae"). Unless defined below, capitalized terms have the meanings we gave to them in the Offering Circular.

The Notes, and interest thereon, are not guaranteed by the United States and do not constitute a debt or obligation of the United States or of any agency or instrumentality thereof other than Fannie Mae.

Certain Securities Terms

1. Title: Step Rate Notes Due March 30, 2021

2. Form: Fed Book-Entry Securities

3. Specified Payment Currency

a. Interest: U.S. dollars

b. Principal: U.S. dollars

4. Aggregate Original Principal Amount: $15,000,000.00

5. Issue Date: March 30, 2016

6. Maturity Date: March 30, 2021

Amount Payable on the Maturity Date: 100.00% of principal amount

7. Subject to Redemption Prior to Maturity Date
__ No
X Yes; in whole or in part, at our option, on the following dates at a redemption price of 100% of the principal amount redeemed, plus accrued interest thereon to the date of redemption.

September 30, 2016 December 30, 2016 March 30, 2017 June 30, 2017
September 30, 2017 December 30, 2017 March 30, 2018 June 30, 2018
September 30, 2018 December 30, 2018 March 30, 2019 June 30, 2019
September 30, 2019 December 30, 2019 March 30, 2020 June 30, 2020
September 30, 2020 December 30, 2020

8. Interest Category: Step Rate Securities

9. Interest

a. Frequency of Interest Payments: semiannually

b. Interest Payment Dates: the 30th day of each March and September

c. First Interest Payment Date: September 30, 2016

d The interest rate on the outstanding principal amount will be as follows:

from and including to but excluding interest rate per annum

March 30, 2016 March 30, 2018 1.50%
March 30, 2018 March 30, 2019 1.75%
March 30, 2019 September 30, 2019 2.00%
September 30, 2019 March 30, 2020 2.50%
March 30, 2020 September 30, 2020 3.00%
September 30, 2020 March 30, 2021 3.50%

Additional Information Relating to the Notes

1. Identification Number(s)

a. CUSIP: 3136G3EJ0

b. ISIN: N/A

c. Common Code: N/A

2. Listing Application
X No
__ Yes

3. Eligibility for Stripping on the Issue Date
X No
__ Yes
___ Minimum Principal Amount: _____________

Offering

1. Pricing Date: March 02, 2016

2. Method of Distribution: X Principal __ Non-underwritten

3. Dealer: Stifel Nicolaus & Company, Incorporated

4. Offering Price:
X Fixed Offering Price: 100.00% of principal amount, plus accrued interest, if any, from the Settlement Date
__ Variable Price Offering

5. Dealer Purchase Price: 99.90% of principal amount

a. Concession: N/A

b. Reallowance: N/A

6. Proceeds to Fannie Mae: $14,985,000.00

Settlement

1. Settlement Date: March 30, 2016

2. Settlement Basis: delivery versus payment

3. Settlement Clearing System: U.S. Federal Reserve Banks