...Issue Date: May 6, 2015 Maturity Date: August 15, 2017 Subject to Redemption: No Interest Rate Per Annum: 4.87% Frequency of Interest Payments: Semiannually, in arrears, co mmencing August 15, 2015 Interest Payment Dates: February 15 and August 15 Principal Pay ment: At maturity CUSIP Nu mber: 3134G6UB7 You should read this Pricing Supplement together with Freddie Mac s Global Debt Facility Offering Circular, dated February 19, 2015 (the "Offering Circular"), and all docu ments that are incorporated by reference in the Offering Circular, wh ich contain important detailed informat ion about the Medium-Term Notes and Freddie Mac. See "Additional Information" in the Offering Circular. Capitalized terms used in this Pricing Supplement have the meanings we gave them in the Offering Circular, unless we specify otherwise. The Medi um-Term Notes may not be suitable investments for you. You shoul d not purchase the Medium-Term Notes unless you understand and are able to bear the yield, market, li...