Fannie Mae Redemption

WASHINGTON, Sept. 12, 2011 /PRNewswire/ — Fannie Mae (OTC Bulletin Board: FNMA) will redeem the principal amounts indicated for the following securities issues on the redemption dates indicated below at a redemption price equal to 100 percent of the principal amount redeemed, plus accrued interest thereon to the date of redemption:

Principal

Amount

Security

Type

Interest

Rate

Maturity Date CUSIP Redemption Date
$75,000,000 MTN 2.000% March 22, 2019 3136FPGX9 September 22, 2011
$57,000,000 MTN 2.250% March 22, 2016 3136FRDE0 September 22, 2011