...(a) The interest rate on the Bonds for the applicable Interest Period is as follows: Interest Periods Commencing Interest Rate April 28, 2015 through July 27, 2015 0.30% July 28, 2015 through October 27, 2015 0.50% October 28, 2015 through January 27, 2016 0.625% January 28, 2016 through April 27, 2016 0.75% April 28, 2016 through July 27, 2016 0.875% July 28, 2016 through October 27, 2016 1.00% October 28, 2016 through January 27, 2017 1.25% January 28, 2017 through April 27, 2017 1.50% (b) Interest Payment Dates: Quarterly, Each 01/28, 04/28, 07/28, and 10/28 commencing on Jul 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...