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As of COB 06/29/2024

CUSIP/ISIN Pricing Date(Trade Date) Settlement Date Issue Price Principal Amount Issued Currency Payment Frequency Coupon Coupon Type Maturity Date Security Type Call Type First Call Date
CUSIP/ISIN: 3134H14T7 Pricing Date(Trade Date): 06/28/2024 Settlement Date: 07/09/2024 Issue Price: 100.00 Principal Amount: 15,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.50000 Coupon Type: Fixed Maturity Date: 07/09/2027 Security Type: MTN Call Type: Bermudan First Call Date: 07/09/2025
CUSIP/ISIN: 3134H14R1 Pricing Date(Trade Date): 06/27/2024 Settlement Date: 07/10/2024 Issue Price: 100.00 Principal Amount: 5,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.50000 Coupon Type: Fixed Maturity Date: 07/10/2028 Security Type: MTN Call Type: Bermudan First Call Date: 07/10/2025
CUSIP/ISIN: 3134H14P5 Pricing Date(Trade Date): 06/27/2024 Settlement Date: 07/02/2024 Issue Price: 100.00 Principal Amount: 10,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.80000 Coupon Type: Fixed Maturity Date: 07/02/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/02/2025
CUSIP/ISIN: 3134H14Q3 Pricing Date(Trade Date): 06/27/2024 Settlement Date: 07/02/2024 Issue Price: 100.00 Principal Amount: 15,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.65000 Coupon Type: Fixed Maturity Date: 07/02/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/02/2025
CUSIP/ISIN: 3134H14Q3 Pricing Date(Trade Date): 06/27/2024 Settlement Date: 07/02/2024 Issue Price: 100.00 Principal Amount: 25,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.65000 Coupon Type: Fixed Maturity Date: 07/02/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/02/2025
CUSIP/ISIN: 3134H14M2 Pricing Date(Trade Date): 06/26/2024 Settlement Date: 07/09/2024 Issue Price: 100.00 Principal Amount: 25,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.75000 Coupon Type: Fixed Maturity Date: 07/09/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/09/2025
CUSIP/ISIN: 3134H14K6 Pricing Date(Trade Date): 06/26/2024 Settlement Date: 07/10/2024 Issue Price: 100.00 Principal Amount: 5,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.62500 Coupon Type: Fixed Maturity Date: 07/10/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/10/2025
CUSIP/ISIN: 3134H14G5 Pricing Date(Trade Date): 06/26/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 100,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.62500 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H14C4 Pricing Date(Trade Date): 06/25/2024 Settlement Date: 07/09/2024 Issue Price: 100.00 Principal Amount: 5,000,000 Issued Currency: USD Payment Frequency: S Coupon: 4.37500 Coupon Type: Fixed Maturity Date: 07/09/2027 Security Type: MTN Call Type: Bermudan First Call Date: 07/09/2025
CUSIP/ISIN: 3134H13P6 Pricing Date(Trade Date): 06/25/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 15,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.55000 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H14D2 Pricing Date(Trade Date): 06/25/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 15,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.45000 Coupon Type: Fixed Maturity Date: 10/01/2026 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H13P6 Pricing Date(Trade Date): 06/24/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 20,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.55000 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H13Y7 Pricing Date(Trade Date): 06/24/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 35,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.55000 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H13P6 Pricing Date(Trade Date): 06/21/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 65,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.55000 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H13Q4 Pricing Date(Trade Date): 06/21/2024 Settlement Date: 07/01/2024 Issue Price: 100.00 Principal Amount: 15,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.50000 Coupon Type: Fixed Maturity Date: 07/01/2027 Security Type: MTN Call Type: Bermudan First Call Date: 10/01/2024
CUSIP/ISIN: 3134H13F8 Pricing Date(Trade Date): 06/20/2024 Settlement Date: 07/03/2024 Issue Price: 100.00 Principal Amount: 25,000,000 Issued Currency: USD Payment Frequency: S Coupon: 5.35000 Coupon Type: Fixed Maturity Date: 07/03/2029 Security Type: MTN Call Type: Bermudan First Call Date: 07/03/2025

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.

4The information set forth above relates to debt securities that have been priced but have not been settled. The date on which the securities will be issued is set forth under the Settlement Date column above. Prior to the Settlement Date, certain of the terms for the debt securities set forth above may change, including the principal amount of the debt securities that will be issued on the Settlement Date. The information set forth above is provided for your general information only, is current only as of its date and does not constitute an offer to sell or a solicitation of an offer to buy securities. You should review the relevant offering circular and related pricing supplement (which will be available prior to the security being issued) before making a decision with respect to the purchase or sale of the debt securities set forth above.