|
Issuer: |
National Rural Utilities CFC |
|
|
Principal Amount: |
$375,000.00 |
|
|
Issue Price: |
100% of Principal Amount |
|
|
Original Issue Date: |
06/21/00 |
|
|
Maturity Date: |
06/15/01 |
|
|
Interest Rate: |
7.14% per annum |
|
|
Record Dates: |
Each January 1 and July 1 |
|
|
Interest Payment Dates: |
Each January 15 and July 15 |
|
|
Redeemable Date: |
None |
|
|
Agents Commission: |
None |
Form of Note: |
Certificated |
(Book-Entry or Certificated) |
|
|
|
Other Terms: |
None |
Medium-Term Notes, Series C may be issued by the Company in an aggregate principal amount of up to
$8,050,000,000 and, to date, including this offering, an aggregate of $329,886,000 Medium-Term Notes, Series A,
$620,114,000, Series B and
$6,113,243,000 Series C have been issued.
|