YTD Non Callable Debt Issued Detail Report As Of 12/31/2017

This report includes all of Fannie Mae fixed and floating rate non callable debt securities.
This report does not currently include Fannie Mae's Connecticut Avenue Securities debt offerings.

Issue Date Term Maturity Date Coupon CUSIP Amount Coupon_Type
12/21/2017 4.39 05/13/2022 2.130% 3136G4QZ9 100,000,000 Fixed
12/21/2017 5.40 05/15/2023 2.230% 3136G4RA3 100,000,000 Fixed
10/11/2017 2.80 07/31/2020 1.650% 3136G4QA4 310,065,000 Fixed
10/06/2017 5.00 10/05/2022 2.000% 3135G0T78 2,000,000,000 Fixed
08/01/2017 3.00 07/30/2020 1.500% 3135G0T60 3,000,000,000 Fixed
04/10/2017 4.99 04/05/2022 1.875% 3135G0T45 2,000,000,000 Fixed
02/28/2017 3.00 02/28/2020 1.500% 3135G0T29 3,000,000,000 Fixed
01/09/2017 4.99 01/05/2022 2.000% 3135G0S38 3,000,000,000 Fixed
Total 8 13,510,065,000