YTD Non Callable Debt Issued Detail Report

(As of 12/31/2012)

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

Issue Date Term Maturity Date Coupon CUSIP Amount Coupon_Type
11/16/2012 3.09 12/21/2015 0.375% 3135G0SB0 4,000,000,000 Fixed
11/15/2012 3.04 12/01/2015 0.000% 3136G04B4 63,500,000 Zero Coupon
11/15/2012 3.29 03/01/2016 0.000% 3136G04C2 67,532,000 Zero Coupon
10/30/2012 5.14 12/20/2017 0.875% 3135G0RT2 5,500,000,000 Fixed
10/18/2012 3.11 09/28/2015 0.500% 3135G0NV1 1,000,000,000 Fixed
10/01/2012 2.00 10/01/2014 0.200% 3136G0P21 130,000,000 Floating
09/24/2012 5.09 10/26/2017 0.875% 3135G0PQ0 6,000,000,000 Fixed
09/24/2012 3.28 01/05/2016 0.500% 3136G0L74 50,000,000 Fixed
09/19/2012 2.00 09/11/2014 0.208% 3135G0PG2 2,000,000,000 Floating
09/11/2012 2.00 09/11/2014 0.208% 3135G0PG2 5,000,000,000 Floating
08/17/2012 3.11 09/28/2015 0.500% 3135G0NV1 4,000,000,000 Fixed
07/20/2012 5.11 08/28/2017 0.875% 3135G0MZ3 4,500,000,000 Fixed
06/29/2012 3.11 07/02/2015 0.500% 3135G0LN1 1,000,000,000 Fixed
06/20/2012 2.00 06/20/2014 0.224% 3135G0MH3 5,000,000,000 Floating
06/07/2012 2.90 05/01/2015 1.200% 3136G0NM9 63,011,000 Fixed
05/21/2012 3.11 07/02/2015 0.500% 3135G0LN1 4,000,000,000 Fixed
04/19/2012 3.10 05/27/2015 0.500% 3135G0KM4 4,000,000,000 Fixed
03/26/2012 3.42 08/26/2015 0.670% 3136FT6R5 50,000,000 Fixed
03/08/2012 7.00 03/08/2019 0.243% 3135G0JE4 300,000,000 Floating
03/01/2012 5.16 04/27/2017 1.125% 3135G0JA2 4,500,000,000 Fixed
02/28/2012 7.00 02/28/2019 0.244% 3135G0HZ9 300,000,000 Floating
02/06/2012 3.10 03/16/2015 0.375% 3135G0HG1 5,500,000,000 Fixed
01/20/2012 3.00 01/20/2015 0.291% 3135G0HB2 1,000,000,000 Floating
01/09/2012 5.06 01/30/2017 1.250% 3135G0GY3 5,000,000,000 Fixed
Total 24 63,024,043,000