TRADE DATE |
CUSIP |
SETTLEMENT DATE |
MATURITY DATE |
NEXT PAY DATE |
CALL TYPE (1) |
CALL STYLE (2) |
RATE TYPE/ RATE SUB-TYPE (3)(4) |
NEXT CALL DATE |
COUPON PCT |
BANK PAR |
||||||||
5/28/2025 |
3130ATVE4 |
5/30/2025 |
12/11/2026 |
6/11/2025 |
Non-Callable |
|
Fixed Constant |
|
4.5 |
2000000 |
||||||||
5/28/2025 |
3130B6LH7 |
6/4/2025 |
12/4/2025 |
8/4/2025 |
Optional Principal Redemption |
European |
Variable Single Index Floater |
11/4/2025 |
|
250000000 |
||||||||
5/28/2025 |
3130B6LH7 |
6/4/2025 |
12/4/2025 |
8/4/2025 |
Optional Principal Redemption |
European |
Variable Single Index Floater |
11/4/2025 |
|
100000000 |
||||||||
5/28/2025 |
3130B6LJ3 |
6/12/2025 |
6/12/2040 |
12/12/2025 |
Optional Principal Redemption |
American |
Fixed Constant |
12/12/2025 |
6 |
5000000 |
||||||||
5/29/2025 |
3130B6LU8 |
5/30/2025 |
6/18/2026 |
6/18/2025 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
8/18/2025 |
4.125 |
200000000 |
||||||||
5/29/2025 |
3130B6LY0 |
6/9/2025 |
6/9/2032 |
12/9/2025 |
Optional Principal Redemption |
American |
Fixed Constant |
9/9/2025 |
5.25 |
5000000 |
||||||||
5/29/2025 |
3130B6M78 |
6/3/2025 |
12/3/2025 |
9/3/2025 |
Non-Callable |
|
Variable Single Index Floater |
|
|
350000000 |
||||||||
5/30/2025 |
3130AWC24 |
6/3/2025 |
6/9/2028 |
6/9/2025 |
Non-Callable |
|
Fixed Constant |
|
4 |
2000000 |
||||||||
5/30/2025 |
3130B6KY1 |
6/5/2025 |
6/5/2040 |
12/5/2025 |
Optional Principal Redemption |
American |
Fixed Constant |
9/5/2025 |
6 |
4000000 |
||||||||
5/30/2025 |
3130B6MA1 |
6/2/2025 |
11/3/2025 |
8/3/2025 |
Non-Callable |
|
Variable Single Index Floater |
|
|
250000000 |
||||||||
5/30/2025 |
3130B6MB9 |
6/4/2025 |
11/5/2025 |
8/5/2025 |
Non-Callable |
|
Variable Single Index Floater |
|
|
500000000 |
||||||||
5/30/2025 |
3130B6MC7 |
6/3/2025 |
6/3/2026 |
12/3/2025 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
12/3/2025 |
4.22 |
5240000 |
||||||||
5/30/2025 |
3130B6MH6 |
6/5/2025 |
10/5/2028 |
12/5/2025 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
12/5/2025 |
4.44 |
15000000 |
(1) Call Type Description:
Optional Principal Redemption bonds (callable bonds) may be redeemed by the Bank in whole or in part at its discretion on predetermined call dates, according to the terms of the bond.
Indexed Amortizing Notes (indexed principal redemption bonds) repay principal based on a predetermined amortization schedule or formula that is linked to the level of a certain index, according to the terms of the bond.
Scheduled Amortizing Notes repay principal based on a predetermined amortization schedule, according to the terms of the bond.
(2) Call Style Description:
Indicates whether the consolidated obligation is redeemable at the option of the Bank, and if so redeemable, the type of redemption provision. The types of redemption provisions are:
American-redeemable continuously on and after the first redemption date and until maturity.
Bermudan-redeemable on specified recurring dates on and after the first redemption date, until maturity.
European-redeemable on a particular date only.
Canary-redeemable on specified recurring dates on and after the first redemption date until a specified date prior to maturity.
Multi-European-redeemable on particular dates only.