...(a) The interest rate on the Bonds for the applicable Interest Period is as follows: Interest Periods Commencing Interest Rate April 28, 2015 through October 27, 2015 0.40% October 28, 2015 through April 27, 2017 0.875% (b) Interest Payment Dates: Semi-Annual, Each 04/28 and 10/28 commencing on Oct 28, 2015 (c) Day Count Convention: 30/360 Redemption: Redemption at the option of the FHLBanks (a) Notice of Redemption: We will request that a notice of redemption be broadcast to depository institutions through the communication system of the Federal Reserve Bank of New York at least 5 Business Days prior to the Redemption Date. Failure to give any notice or any defect therein shall not affect the validity of any proceedings for the redemption of such Bonds. (b) Redemption Dates: One-Time, Oct 28, 2015 (c) Terms: Whole or in Part (d) Price Paid on Redemption Date: 100% Dealer: Barclays Capital Inc. Morgan Stanley & Co. LLC Raymond James & Associates, Inc. Dealer(s) Liability: Joint and several...