Federal Farm Credit Banks Consolidated Systemwide Bonds
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1 REOPENING TERM SHEET This Reopening Term Sheet relates to the described below and should be read in conjunction with the and Discount Notes Offering Circular, dated June 18, 1999, as amended and supplemented by the Offering Circular Supplements dated August 20, 2001, November 26, 2003, March 8, 2007 and September 30, 2008 (the "Offering Circular"). The Fixed Rate described herein (the "") were sold to (the "Dealer"), as principal, for resale to investors at varying prices according to prevailing market prices at the time of resale as determined by the Dealer. Terms set forth below unless otherwise defined have the meaning ascribed to The have the same terms (other than the Issue Date, Settlement Date and the Issue Price) as, and form a single issue with, the 3.500% Due September 29, 2025 issued in the original principal amount of $16,000,000 on September 29, 2010 at an Issue Price of %, and pursuant to the Term Sheet dated September 23, 2010 (the "Original ") and reopened in the principal amount of $25,000,000 on September 29, 2010 at an Issue Price of % and pursuant to the Term Sheet dated September 27, 2010 (the "First Reopening "). The total principal amount of the Original, the First Reopening and the is $46,000,000. Principal Amount: $5,000,000 Total Principal Amount: $46,000,000 Issue Price: %, plus accrued interest from and including September 29, 2010 to but excluding October 8, 2010 Issue Date & Settlement Date: October 8, 2010, except for purposes of calculating interest payable on the first Interest Payment Date, Issue Date shall mean September 29, 2010 : September 29, 2025 Redemption: The are not subject to redemption prior to the. Underwriting Concession: 0.000% The date of the Reopening Term Sheet is October 1, 2010.
2 CERTAIN ADDITIONAL TAX CONSIDERATIONS The following discussion should read in conjunction with the discussion contained under "Certain Tax Considerations" in the Offering Circular. The offered pursuant to this Reopening Term Sheet should be considered part of the same issue of Original and the First Reopening and the issue price of the for Federal income tax purposes therefore should be the initial price at which a substantial portion of the issue of Original was sold on September 29, See "Certain Tax Considerations-United States Owners-Market Discount and Premium" and "Certain Tax Considerations-United States Owners-Reopenings" in the Offering Circular. Each beneficial owner of a Bond should consult its tax advisor. -2-
3 REOPENING TERM SHEET This Reopening Term Sheet relates to the described below and should be read in conjunction with the and Discount Notes Offering Circular, dated June 18, 1999, as amended and supplemented by the Offering Circular Supplements dated August 20, 2001, November 26, 2003, March 8, 2007 and September 30, 2008 (the "Offering Circular"). The Fixed Rate described herein (the "") were sold to (the "Dealer"), as principal, for resale to investors at varying prices according to prevailing market prices at the time of resale as determined by the Dealer. Terms set forth below unless otherwise defined have the meaning ascribed to The have the same terms (other than the Issue Price) as, and form a single issue with, the 3.500% Due September 29, 2025 issued in the original principal amount of $16,000,000 on September 29, 2010 at an Issue Price of %, and pursuant to the Term Sheet dated September 23, 2010 (the "Original "). The total principal amount of the Original and the is $41,000,000. Principal Amount: $25,000,000 Total Principal Amount: $41,000,000 Issue Price: % Issue Date & Settlement Date: September 29, 2010 : September 29, 2025 Redemption: The are not subject to redemption prior to the. Underwriting Concession: 0.000% The date of the Reopening Term Sheet is September 27, 2010.
4 CERTAIN ADDITIONAL TAX CONSIDERATIONS The following discussion should read in conjunction with the discussion contained under "Certain Tax Considerations" in the Offering Circular. The offered pursuant to this Reopening Term Sheet should be considered part of the same issue of Original and the issue price of the for Federal income tax purposes therefore should be the initial price at which a substantial portion of the issue of Original was sold on September 29, See "Certain Tax Considerations-United States Owners-Market Discount and Premium" and "Certain Tax Considerations-United States Owners-Reopenings" in the Offering Circular. Each beneficial owner of a Bond should consult its tax advisor. -2-
5 TERM SHEET This Term Sheet relates to the described below and should be read in conjunction with the Federal Farm Credit Banks and Discount Notes Offering Circular, dated June 18, 1999, as amended and supplemented by the Offering Circular Supplements dated August 20, 2001, November 26, 2003, March 8, 2007 and September 30, 2008 (the "Offering Circular"). The Fixed Rate described herein (the "") were sold to (the "Dealer"), as principal, for resale to investors at varying prices according to prevailing market prices at the time of resale as determined by the Dealer. Terms set forth below unless otherwise defined have the meaning ascribed to Principal Amount: $16,000,000 Issue Price: % Issue Date & Settlement Date: September 29, 2010 : September 29, 2025 Redemption: The are not subject to redemption prior to the. Underwriting Concession: % The date of the Term Sheet is September 23, 2010.
Federal Farm Credit Banks Consolidated Systemwide Bonds
REOPENING TERM SHEET This Reopening Term Sheet relates to the described below and should be read in conjunction with the and Discount Notes Offering Circular, dated June 18, 1999, as amended and supplemented
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