Executing a Giant/Supers Transaction
In order to set up a Giant/Supers you must be an approved member of the Freddie Mac Giant/Supers Dealer Group or you must work through an approved dealer. To find out how to become an approved dealer, please contact the Freddie Mac Single-class Issuance group at [email protected].
Giant/Supers transactions are executed using Freddie Mac Dealer Direct®. Click here for a list of features, user setup process and forms, and to log in. More than one pool is required as collateral for Giants/Supers/Giants MBS; please contact [email protected] with questions or concerns.
The following information is required when setting up a trade:
Fixed-rate Giant/Supers | ARM Giant PCs |
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For assistance with the execution of a Giant/Supers transaction approved dealers may contact Freddie Mac Single-Class Issuance by phone or by email.
Phone: (800) 366-2572
Email Address: [email protected]
Giant/Supers transactions may be established on any business day of the month. Giant/Supers settlements may only occur beginning one business day after the factor release through the last business day of the month with the exception of two business days prior to the last business day of the month (REMIC collateral delivery day).
Upon execution of the Giant/Supers Transaction, Dealer Direct will provide you with:
- Pool Number
- CUSIP Number
- Any Applicable Giant/Supers Transaction Fees
- UPB
- Settlement date