Attached files

file filename
8-K - LIVE FILING - Federal Home Loan Bank of Cincinnatihtm_45553.htm

Schedule A

FEDERAL HOME LOAN BANK OF CINCINNATI

                                         
                            Rate Type/   Next        
        Settlement   Maturity   Next Pay   Call   Call   Rate Sub-   Call/Amort   Coupon   FHLBank
Trade Date   CUSIP   Date   Date   Date   Type (1)   Style (2)   Type (3)(4)   Date   Percent   Par ($)
7/11/2012   3133804D6   7/30/2012   4/30/2014   10/30/2012  
Optional
Principal
Redemption
 
  Bermudan



  Fixed Constant



  4/30/2013



  0.3



  $25,000,000



7/11/2012   3133804D6   7/30/2012   4/30/2014   10/30/2012  
Optional
Principal
Redemption
 
  Bermudan



  Fixed Constant



  4/30/2013



  0.3



  $25,000,000



7/11/2012   3133804M6   7/23/2012   1/23/2014   10/23/2012  
Non-Callable
 
      Variable
Single Index
Floater
 

 

  $100,000,000


7/12/2012   313379FW4   7/16/2012   6/9/2017   12/9/2012  
Non-Callable
 
 
  Fixed Constant

 
  1

  $25,000,000

7/12/2012   3133802M8   7/30/2012   7/30/2018   1/30/2013  
Optional
Principal
Redemption
 
  American



  Fixed Constant



  10/30/2012



  1.375



  $50,000,000



7/12/2012   3133803G0   8/8/2012   8/8/2022   2/8/2013  
Optional
Principal
Redemption
 
  American



  Fixed Constant



  11/8/2012



  2.35



  $25,000,000



7/12/2012   3133804H7   7/25/2012   7/25/2019   1/25/2013  
Optional
Principal
Redemption
 
  American



  Fixed Constant



  10/25/2012



  1.7



  $50,000,000



7/12/2012   3133804M6   7/23/2012   1/23/2014   10/23/2012  
Non-Callable
 
      Variable
Single Index
Floater
 

 

  $150,000,000


7/13/2012   313379EE5   7/17/2012   6/14/2019   12/14/2012  
Non-Callable
 
 
  Fixed Constant

 
  1.625

  $50,000,000

7/13/2012   3133804U8   8/9/2012   8/9/2016   2/9/2013  
Optional
Principal
Redemption
  American


  Fixed Constant


  11/9/2012


  0.74


  $50,000,000


(1) Call/Amortization Type Description:

Optional Principal Redemption Bonds (Callable Bonds) may be redeemed by the FHLBank in whole or in part at its discretion on predetermined call dates, according to the terms of the Bond.
Indexed Amortizing Notes (Indexed Principal Redemption Bonds) repay principal based on a predetermined amortization schedule or formula that is linked to the level of a certain index, according to the terms of the Bond.
Scheduled Amortizing Notes repay principal based on a predetermined amortization schedule, according to the terms of the Bond.

(2) Call Style Description:

Indicates whether the Bond is redeemable at the option of the FHLBank, and if so redeemable, the type of redemption provision. The types of redemption provisions are:
American Bonds are redeemable continuously on and after the first redemption date until maturity.
Bermudan Bonds are redeemable on specified recurring dates on and after the first redemption date, until maturity.
European Bonds are redeemable on a particular date only.

(3) Rate Type Description:

Fixed Bonds generally pay interest at constant fixed rates over the life of the Bond, according to the terms of the Bond.
Variable Bonds may pay interest at different rates over the life of the Bond, according to the terms of the Bond.

(4) Rate Sub-Type Description:

Constant Bonds generally pay interest at fixed rates over the life of the Bond, 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.