...Issue Date: May 20, 2015 Maturity Date: May 20, 2030 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): Semiannually, on November 20 and May 20, fro m November 20, 2015 through May 20, 2025 Interest Rate: The Medium-Term Notes bear interest at different fixed rates, during different periods. (See "Step Interest Rates" herein.) Frequency of Interest Payments: Semiannually, in arrears, co mmencing November 20, 2015 Interest Payment Dates: May 20 and November 20 Principal Pay ment: At maturity, or upon redemption CUSIP Nu mber: 3134G6YG2 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 documents that are incorporated by reference in the Offering Circular, wh ich...