Obbligazione National Agricultural Credit Banks 3.19% ( US3133EJ5J41 ) in USD

Emittente National Agricultural Credit Banks
Prezzo di mercato refresh price now   100 USD  ▲ 
Paese  Stati Uniti
Codice isin  US3133EJ5J41 ( in USD )
Tasso d'interesse 3.19% per anno ( pagato 2 volte l'anno)
Scadenza 16/01/2029



Prospetto opuscolo dell'obbligazione Federal Farm Credit Banks US3133EJ5J41 en USD 3.19%, scadenza 16/01/2029


Importo minimo 1 000 USD
Importo totale 40 000 000 USD
Cusip 3133EJ5J4
Standard & Poor's ( S&P ) rating AA+ ( High grade - Investment-grade )
Moody's rating Aaa ( Prime - Investment-grade )
Coupon successivo 16/07/2026 ( In 157 giorni )
Descrizione dettagliata Le Federal Farm Credit Banks sono un sistema di banche cooperative statunitensi che forniscono finanziamenti e servizi finanziari alle aziende agricole e alle cooperative agricole.

Le Federal Farm Credit Banks ha emesso un'obbligazione (ISIN: US3133EJ5J41, CUSIP: 3133EJ5J4) denominata in USD, con un rendimento del 3,19%, scadenza il 16/01/2029, un ammontare totale emesso di 40.000.000 USD, taglio minimo di 1.000 USD, frequenza di pagamento semestrale, e rating S&P AA+ e Moody's Aaa, attualmente negoziata al 100%.







TERM SHEET

Federal Farm Credit Banks
Consolidated Systemwide

Bonds

This Term Sheet relates to the Bonds described below and should be read in conjunction with the Federal
Farm Credit Banks Consolidated Systemwide Bonds and Discount Notes Offering Circular, dated
December 8, 2014, as amended and supplemented (the "Offering Circular"). The Fixed Rate Bonds
described herein (the "Bonds") were sold to Barclays Capital Inc. (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 them in the Offering
Circular.
Principal Amount: $40,000,000
Denomination: $1,000 and integral multiples of $1,000 in excess thereof
Issue Price: 100.000%
Issue Date & Settlement Date: January 16, 2019
Maturity Date: January 16, 2029
Interest Rate: 3.190%
Day Count Basis: Interest shall be computed on the basis of a 360-day year consisting of twelve 30-day
months.
Interest Payment Dates: Each January 16 and July 16, beginning on July 16, 2019, and the Maturity Date
Redemption: The Bonds are not subject to redemption prior to the Maturity Date.
Reopenings: The outstanding principal amount of this issue may be increased from time to time.
Underwriting Concession: 0.085003%
Selling Concession: 0.000%
CUSIP Number: 3133EJ 5J4

Barclays Capital Inc.

The date of the Term Sheet is January 9, 2019.