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 |
||||||||
3/18/2026 |
3130B9Y20 |
3/24/2026 |
3/17/2031 |
9/17/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
3/17/2027 |
4.25 |
15,000,000.00 |
||||||||
3/18/2026 |
3130B9Y20 |
3/24/2026 |
3/17/2031 |
9/17/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
3/17/2027 |
4.25 |
15,000,000.00 |
||||||||
3/18/2026 |
3130B9Y79 |
3/30/2026 |
3/30/2033 |
9/30/2026 |
Optional Principal Redemption |
American |
Fixed Constant |
9/30/2026 |
4.675 |
5,000,000.00 |
||||||||
3/18/2026 |
3130B9YL8 |
3/27/2026 |
3/21/2028 |
9/21/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
9/21/2026 |
4 |
25,000,000.00 |
||||||||
3/19/2026 |
3130B9YN4 |
3/25/2026 |
9/25/2028 |
9/25/2026 |
Optional Principal Redemption |
European |
Fixed Constant |
3/25/2027 |
4 |
10,000,000.00 |
||||||||
3/19/2026 |
3130B9YN4 |
3/25/2026 |
9/25/2028 |
9/25/2026 |
Optional Principal Redemption |
European |
Fixed Constant |
3/25/2027 |
4 |
10,000,000.00 |
||||||||
3/19/2026 |
3130B9YN4 |
3/25/2026 |
9/25/2028 |
9/25/2026 |
Optional Principal Redemption |
European |
Fixed Constant |
3/25/2027 |
4 |
20,000,000.00 |
||||||||
3/19/2026 |
3130B9YN4 |
3/25/2026 |
9/25/2028 |
9/25/2026 |
Optional Principal Redemption |
European |
Fixed Constant |
3/25/2027 |
4 |
20,000,000.00 |
||||||||
3/19/2026 |
3130B9YV6 |
3/24/2026 |
3/24/2028 |
9/24/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
6/24/2026 |
4.25 |
20,000,000.00 |
||||||||
3/19/2026 |
3130B9YY0 |
3/23/2026 |
9/23/2027 |
9/23/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
9/23/2026 |
4 |
10,000,000.00 |
||||||||
3/19/2026 |
3130B9ZA1 |
3/27/2026 |
3/17/2031 |
9/17/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
4/17/2026 |
4.75 |
10,000,000.00 |
||||||||
3/19/2026 |
3130B9ZA1 |
3/27/2026 |
3/17/2031 |
9/17/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
4/17/2026 |
4.75 |
25,000,000.00 |
||||||||
3/20/2026 |
3130AVJY9 |
3/24/2026 |
3/14/2031 |
9/14/2026 |
Non-Callable |
|
Fixed Constant |
|
4.125 |
4,000,000.00 |
||||||||
3/20/2026 |
3130B9ZJ2 |
3/23/2026 |
4/21/2027 |
9/23/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
6/23/2026 |
4 |
35,000,000.00 |
||||||||
3/20/2026 |
3130B9ZK9 |
3/26/2026 |
3/18/2031 |
9/18/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
3/18/2027 |
4.4 |
10,000,000.00 |
||||||||
3/20/2026 |
3130B9ZL7 |
3/30/2026 |
6/30/2027 |
9/30/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
9/30/2026 |
4.035 |
150,000,000.00 |
||||||||
3/20/2026 |
3130B9ZQ6 |
3/24/2026 |
3/24/2027 |
9/24/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
9/24/2026 |
3.95 |
30,000,000.00 |
||||||||
3/20/2026 |
3130B9ZQ6 |
3/24/2026 |
3/24/2027 |
9/24/2026 |
Optional Principal Redemption |
Bermudan |
Fixed Constant |
9/24/2026 |
3.95 |
30,000,000.00 |
||||||||
3/20/2026 |
3130B9ZT0 |
3/27/2026 |
3/27/2031 |
9/27/2026 |
Optional Principal Redemption |
European |
Fixed Constant |
3/27/2028 |
4.23 |
10,000,000.00 |
||||||||