Fannie Mae Prices New Issue 3-Year Benchmark Notes(R)

WASHINGTON -

The following is being issued by Fannie Mae (NYSE: FNM):

3-Year Pricing Date July 9, 2009 Settlement Date July 10, 2009 Maturity Date August 10, 2012 Issue Size US$4 billion Coupon 1.750% Price 99.926 Yield 1.775% Payment Dates Each August 10th and February 10th, beginning August 10, 2009 Spread +32 basis points / 1.500% 07/15/12 U.S. Treasury CUSIP 31398AYM8 Listing Application will be made to list the securities on the EuroMTF market of the Luxembourg Stock Exchange

Fannie Mae Redemption

WASHINGTON, August 30, 2010 - Fannie Mae (OTC Bulletin Board: FNMA) will redeem the principal amounts
indicated for the following securities issues on the redemption dates
indicated below at a redemption price equal to 100 percent of the principal
amount redeemed, plus accrued interest thereon to the date of redemption:

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