...Issue Date: May 18, 2015 Maturity Date: May 18, 2018 Subject to Redemption: Yes. The Mediu m-Term Notes are redeemable at our option, upon notice fro m 5 Business Days to 60 calendar days prior to redemption, at a price of 100% of the principal amount, plus accrued interest to the Redemption Date. Redemption Date(s): Quarterly, on the 18th day of February, May, August, and November, commencing November 18, 2015 Interest Rate Per Annum: 1.225% Frequency of Interest Payments: Semiannually, in arrears, co mmencing November 18, 2015 Interest Payment Dates: May 18 and November 18 Principal Pay ment: At maturity, or upon redemption CUSIP Nu mber: 3134G6XZ1 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...