YTD Non Callable Debt Issued Detail Report

(As of 12/31/2009)

This report includes all of Fannie Mae fixed and floating rate non callable debt securities

Issue Date Term Maturity Date Coupon CUSIP Amount
12/04/2009 2.11 01/12/2012 0.875% 31398AB43 3,000,000,000
11/06/2009 5.00 11/06/2014 2.690% 31398AZZ8 2,000,000,000
10/26/2009 5.07 11/20/2014 2.625% 31398AZV7 5,500,000,000
10/09/2009 2.12 11/23/2011 1.000% 31398AZN5 6,000,000,000
08/14/2009 5.09 09/16/2014 3.000% 31398AYY2 4,000,000,000
08/07/2009 2.40 12/30/2011 0.000% 3136FH5F8 17,455,000
07/10/2009 3.09 08/10/2012 1.750% 31398AYM8 5,000,000,000
06/08/2009 2.25 09/08/2011 1.160% 31398AXY3 350,000,000
06/04/2009 1.57 12/29/2010 0.750% 31398AXV9 150,000,000
06/03/2009 2.78 03/15/2012 1.500% 31398AXU1 325,000,000
06/03/2009 2.42 11/03/2011 1.215% 31398AXX5 400,000,000
05/15/2009 5.00 05/15/2014 2.500% 31398AXJ6 5,000,000,000
05/13/2009 2.00 05/13/2011 0.800% 31398AXH0 5,000,000,000
05/08/2009 4.02 05/15/2013 8.000% 3136FHTD7 154,000,000
04/22/2009 1.50 10/22/2010 0.660% 3136FHMR3 2,000,000,000
04/09/2009 2.05 04/28/2011 1.375% 31398AWQ1 6,000,000,000
04/07/2009 1.72 12/28/2010 0.000% 3136FHJP1 49,200,000
04/03/2009 3.05 04/20/2012 1.875% 31398AWK4 4,000,000,000
03/30/2009 1.50 09/30/2010 1.200% 3136FHHV0 42,000,000
03/30/2009 2.00 03/30/2011 1.600% 3136FHHW8 30,000,000
03/16/2009 1.50 09/16/2010 1.500% 3136FHFE0 1,000,000,000
03/13/2009 5.00 03/13/2014 2.750% 31398AVZ2 9,000,000,000
02/27/2009 2.06 03/23/2011 1.750% 31398AVQ2 15,000,000,000
02/26/2009 1.00 02/26/2010 0.930% 3136FHCW3 50,000,000
02/11/2009 1.49 08/11/2010 0.870% 3136FHAV7 180,000,000
02/05/2009 5.00 02/05/2014 2.750% 31398AVD1 7,000,000,000
02/05/2009 1.49 08/05/2010 1.184% 31398AVE9 5,000,000,000
01/21/2009 2.00 01/21/2011 1.113% 31398AUY6 1,000,000,000
01/12/2009 1.50 07/13/2010 1.244% 31398AUW0 10,000,000,000
01/09/2009 3.00 01/09/2012 2.000% 31398AUU4 6,000,000,000
Total 30 103,247,655,000