National Rural Utilities Coop Finance Corp

Formerly NYSE: NRUC

Underwriting Agreements Filter

EX-1.1
from 8-K 20 pages National Rural Utilities Cooperative Finance Corporation $100,000,000 7.125% Fixed-To-Fixed Reset Rate Subordinated Notes Due 2053 (Subordinated Deferrable Interest Notes) Underwriting Agreement
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EX-1.2
from 8-K 60 pages National Rural Utilities Cooperative Finance Corporation Cfc Internotes® Agency Agreement
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EX-1.1
from 8-K 68 pages National Rural Utilities Cooperative Finance Corporation Medium-Term Notes, Series D Agency Agreement
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EX-1.1
from 8-K 20 pages National Rural Utilities Cooperative Finance Corporation $300,000,000 7.125% Fixed-To-Fixed Reset Rate Subordinated Notes Due 2053 (Subordinated Deferrable Interest Notes) Underwriting Agreement
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EX-1.1
from 8-K 24 pages National Rural Utilities Cooperative Finance Corporation $300,000,000 5.80% Collateral Trust Bonds Due January 15, 2033 Underwriting Agreement
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EX-1.1
from 8-K 24 pages National Rural Utilities Cooperative Finance Corporation $350,000,000 5.80% Collateral Trust Bonds Due January 15, 2033 Underwriting Agreement
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EX-1.1
from 8-K 24 pages National Rural Utilities Cooperative Finance Corporation $400,000,000 4.15% Collateral Trust Bonds Due December 15, 2032 Underwriting Agreement
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EX-1.1
from 8-K 23 pages National Rural Utilities Cooperative Finance Corporation $500,000,000 2.75% Collateral Trust Bonds Due April 15, 2032 Underwriting Agreement
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EX-1.1
from 8-K 24 pages National Rural Utilities Cooperative Finance Corporation $350,000,000 1.650% Collateral Trust Bonds Due June 15, 2031 Underwriting Agreement
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EX-1.2
from 8-K 70 pages National Rural Utilities Cooperative Finance Corporation Cfc Internotes® Agency Agreement
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EX-1.1
from 8-K 73 pages National Rural Utilities Cooperative Finance Corporation Medium-Term Notes, Series D Agency Agreement
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EX-1.1
from 8-K 24 pages National Rural Utilities Cooperative Finance Corporation $400,000,000 1.35% Collateral Trust Bonds Due March 15, 2031 Underwriting Agreement
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EX-1.1
from 8-K 23 pages National Rural Utilities Cooperative Finance Corporation $500,000,000 2.40% Collateral Trust Bonds Due March 15, 2030 Underwriting Agreement
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EX-1.1
from 8-K 23 pages National Rural Utilities Cooperative Finance Corporation $250,000,000 5.500% Subordinated Notes Due 2064 (Subordinated Deferrable Interest Notes) Underwriting Agreement
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EX-1.1
from 8-K 25 pages National Rural Utilities Cooperative Finance Corporation $450,000,000 3.70% Collateral Trust Bonds Due March 15, 2029 $500,000,000 4.30% Collateral Trust Bonds Due March 15, 2049 Underwriting Agreement
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EX-1.1
from 8-K 25 pages National Rural Utilities Cooperative Finance Corporation $325,000,000 3.90% Collateral Trust Bonds Due November 1, 2028 $300,000,000 4.40% Collateral Trust Bonds Due November 1, 2048 Underwriting Agreement
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EX-1.1
from 8-K 23 pages National Rural Utilities Cooperative Finance Corporation $700,000,000 3.40% Collateral Trust Bonds Due February 7, 2028 Underwriting Agreement
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EX-1.2
from 8-K 62 pages National Rural Utilities Cooperative Finance Corporation Cfc Internotes® Agency Agreement
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EX-1.1
from 8-K 66 pages National Rural Utilities Cooperative Finance Corporation Medium-Term Notes, Series D Agency Agreement
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EX-1.1
from 8-K 25 pages National Rural Utilities Cooperative Finance Corporation $450,000,000 2.40% Collateral Trust Bonds Due April 25, 2022 $350,000,000 3.05% Collateral Trust Bonds Due April 25, 2027 Underwriting Agreement
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