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8-K - 8-K - Federal Home Loan Bank of Dallasfhlbd-8k_20210428.htm

Exhibit 99.1

Schedule A
Consolidated Obligation Bonds Committed to be Issued by the Federal Home Loan Bank of Dallas

 

TRADE DATE

 

CUSIP

 

SETTLEMENT

DATE

 

MATURITY DATE

 

NEXT PAY DATE

 

CALL TYPE (1)

 

CALL STYLE (2)

 

RATE TYPE/

RATE

SUB-TYPE (3)(4)

 

NEXT CALL DATE

 

INITIAL COUPON RATE

 

PAR

AMOUNT

04/28/2021

 

3130AMA51

 

04/29/2021

 

04/29/2026

 

10/29/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

04/29/2022

 

1.25%

 

$20,000,000

04/28/2021

 

3130AMBF8

 

05/19/2021

 

05/19/2036

 

11/19/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Step Up

 

 

08/19/2021

 

1.00%

 

$10,000,000

04/28/2021

 

3130AMD33

 

05/12/2021

 

05/12/2031

 

11/12/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Step Up

 

 

08/12/2021

 

1.50%

 

$50,000,000

04/28/2021

 

3130AMD74

 

05/14/2021

 

11/14/2024

 

11/14/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

06/14/2021

 

0.70%

 

$500,000,000

04/28/2021

 

3130AMD82

 

05/28/2021

 

05/28/2024

 

11/28/2021

 

Optional Principal Redemption

 

Bermudan

 

Fixed/

Constant

 

06/28/2021

 

0.50%

 

$100,000,000

04/28/2021

 

3130AMDK5

 

06/03/2021

 

06/03/2026

 

09/03/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Step Up

 

 

09/03/2021

 

0.60%

 

$15,000,000

04/28/2021

 

3130AMDL3

 

05/25/2021

 

07/25/2025

 

11/25/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

08/25/2021

 

0.80%

 

$35,000,000

04/28/2021

 

3130AMDM1

 

05/24/2021

 

05/24/2024

 

11/24/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

08/24/2021

 

0.43%

 

$25,000,000

04/28/2021

 

3130AMDN9

 

05/12/2021

 

05/12/2027

 

11/12/2021

 

Optional Principal Redemption

 

European

 

 

Fixed/

Step Up

 

 

05/12/2022

 

0.50%

 

$15,000,000

04/28/2021

 

3130AMDP4

 

05/13/2021

 

02/13/2024

 

11/13/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

08/13/2021

 

0.34%

 

$25,000,000

04/28/2021

 

3130AMDQ2

 

05/24/2021

 

02/24/2026

 

11/24/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

11/24/2021

 

1.00%

 

$25,000,000

04/29/2021

 

3130AMCN0

 

05/26/2021

 

08/26/2024

 

11/26/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

11/26/2021

 

0.50%

 

$15,000,000

04/29/2021

 

3130AMCT7

 

05/26/2021

 

05/26/2026

 

11/26/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

08/26/2021

 

1.11%

 

$15,000,000

04/29/2021

 

3130AMD74

 

05/14/2021

 

11/14/2024

 

11/14/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

06/14/2021

 

0.70%

 

$500,000,000

04/29/2021

 

3130AMD82

 

05/28/2021

 

05/28/2024

 

11/28/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

06/28/2021

 

0.50%

 

$50,000,000

04/29/2021

 

3130AMDN9

 

05/12/2021

 

05/12/2027

 

11/12/2021

 

Optional Principal Redemption

 

European

 

 

Fixed/

Step Up

 

 

05/12/2022

 

0.50%

 

$20,000,000

04/29/2021

 

3130AMDU3

 

05/20/2021

 

05/20/2026

 

11/20/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Constant

 

 

05/20/2022

 

1.00%

 

$50,000,000

04/29/2021

 

3130AMDX7

 

05/20/2021

 

05/20/2031

 

11/20/2021

 

Optional Principal Redemption

 

Bermudan

 

 

Fixed/

Step Up

 

 

08/20/2021

 

1.50%

 

$15,000,000


04/29/2021

 

3130AME40

 

05/04/2021

 

10/04/2021

 

07/04/2021

 

Non-Callable

 

N/A

 

 

Variable/

Single Index Floater

 

 

N/A

 

*

 

$110,000,000

04/29/2021

 

3130AME81

 

05/21/2021

 

05/21/2026

 

11/21/2021

 

Optional Principal Redemption

 

Bermudan

 

Fixed/

Constant

 

06/21/2021

 

1.18%

 

$25,000,000

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

04/30/2021

 

3130AM6H0

 

05/11/2021

 

10/11/2024

 

11/11/2021

 

Optional Principal Redemption

 

Bermudan

 

Fixed/

Constant

 

08/11/2021

 

0.55%

 

$25,000,000

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

04/30/2021

 

3130AMCR1

 

05/18/2021

 

05/18/2028

 

11/18/2021

 

Optional Principal Redemption

 

Bermudan

 

Fixed/

Step Up

 

05/18/2022

 

0.75%

 

$10,000,000

04/30/2021

 

3130AMDN9

 

05/12/2021

 

05/12/2027

 

11/12/2021

 

Optional Principal Redemption

 

European

 

 

Fixed/

Step Up

 

 

05/12/2022

 

0.50%

 

$10,000,000

 

*Overnight SOFR plus 0.50 basis points

(1)    Call Type Description:

Optional Principal Redemption bonds (callable bonds) may be redeemed by the Bank in whole or in part at its discretion on predetermined call dates, according to the terms of the bond.
Scheduled Amortizing bonds repay principal based upon a predetermined amortization schedule, in accordance with the terms of the bond.

(2)    Call Style Description:

American - redeemable continuously on and after the first redemption date and until maturity.
Bermudan - redeemable on specified recurring dates on and after the first redemption date until maturity.
European - redeemable on a specific date only.
Multi-European - redeemable on particular dates only.
Canary - redeemable on specified recurring dates on and after the first redemption date until a specified date prior to maturity.

(3)    Rate Type Description:

Conversion bonds have coupons that convert from fixed to variable or from variable to fixed on a predetermined date, according to the terms of the bond; in some cases, the variable coupon may be subject to an interest rate cap.
Fixed bonds pay interest at constant or stepped fixed rates over the life of the bond, according to the terms of the bond.
Variable bonds pay interest at rates that reset periodically over the life of the bond based upon an index such as 1-month or 3-month LIBOR or the daily Federal Funds rate, according to the terms of the bond.

(4)    Rate Sub-Type Description:

Constant bonds pay interest at constant fixed rates over the life of the bond, according to the terms of the bond.
Step-Down bonds pay interest at decreasing fixed rates for specified intervals over the life of the bond, according to the terms of the bond.
Step-Up bonds pay interest at increasing fixed rates for specified intervals over the life of the bond, according to the terms of the bond.
Step-Up/Step-Down bonds pay interest at increasing fixed rates and then at decreasing fixed rates for specified intervals over the life of the bond, according to the terms of the bond.
Capped Floater bonds pay interest at variable rates subject to an interest rate ceiling, according to the terms of the bond.
Single Index Floater bonds pay interest at a rate that increases as an index rises and decreases as an index declines, according to the terms of the bond.