...(a) Interest Rate: 0.65% (b) Interest Payment Dates: Semi-Annual, Each 02/15 and 08/15 commencing on Aug 15, 2015 (c) Day Count Convention: 30/360 Dealer: Wells Fargo Securities, LLC Dealer(s) Liability: Sole Price Sold to Dealer: 100% of the principal amount of the Bonds less the concession. Initial Offering Price to Public: Variable Price Offer Proceeds to FHLBanks from Sale of Bonds: 100.00% of the principal amount of the Bonds Dealer Compensation: (a) Concession: None (b) Reallowance: None Additional compensation arising from a swap transaction entered into in connection with the issuance of the Bonds may be received by the Dealer(s) from parties other than the FHLBanks. This Offering Notice is dated March 30, 2015...