Federally Chartered Corporation
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000-51397
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136400946
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(State or Other
Jurisdiction
of Incorporation)
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(Commission File
Number)
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(IRS
Employer
Identification No.)
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101 Park
Avenue,
New York, New York
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10178-0599
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(Address of Principal Executive Offices)
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(Zip Code)
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Title
of each class
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Trading
Symbol(s)
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Name
of each exchange on which registered
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None
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N/A
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N/A
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Exhibit
Number
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Description
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99.1
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Federal Home Loan
Bank of New York
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Date: February 25,
2021
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By:
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/s/
Benjamin Tan
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Name: Benjamin Tan
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Title: Assistant Treasurer
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TRADE DATE
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CUSIP
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SETTLEMENT DATE
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MATURITY DATE
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NEXT PAY DATE
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CALL TYPE (1)
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CALL STYLE (2)
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RATE TYPE/RATE SUB-TYPE (3)(4)
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NEXT CALL DATE
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COUPON PCT
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BANK PAR ($)
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2/22/2021
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3130ALDX9
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2/23/2021
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5/23/2025
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8/23/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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2/23/2022
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0.5
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$15,000,000
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2/22/2021
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3130ALGA6
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2/25/2021
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2/25/2026
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8/25/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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2/25/2022
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0.7
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$10,000,000
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2/22/2021
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3130ALGB4
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3/17/2021
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3/17/2026
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9/17/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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9/17/2021
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0.8
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$15,000,000
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2/22/2021
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3130ALGB4
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3/17/2021
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3/17/2026
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9/17/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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9/17/2021
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0.8
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$15,000,000
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2/22/2021
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3130ALGC2
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3/23/2021
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3/23/2026
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9/23/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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6/23/2021
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0.875
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$35,000,000
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2/22/2021
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3130ALGC2
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3/23/2021
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3/23/2026
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9/23/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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6/23/2021
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0.875
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$50,000,000
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2/22/2021
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3130ALGD0
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3/17/2021
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3/17/2027
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9/17/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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3/17/2022
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1
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$15,000,000
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2/22/2021
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3130ALGG3
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3/1/2021
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3/1/2029
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9/1/2021
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Optional Principal Redemption
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American
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Fixed Constant
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3/1/2022
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1.33
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$25,000,000
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2/22/2021
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3130ALGJ7
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3/23/2021
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3/23/2026
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9/23/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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4/23/2021
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1
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$200,000,000
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2/22/2021
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3130ALGM0
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3/24/2021
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3/24/2026
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9/24/2021
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Optional Principal Redemption
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European
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Fixed Step Up
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9/24/2021
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0.25
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$15,000,000
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2/22/2021
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3130ALGP3
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2/23/2021
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8/23/2024
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8/23/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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2/23/2022
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0.33
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$35,000,000
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2/22/2021
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3130ALGQ1
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3/10/2021
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6/10/2024
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9/10/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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9/10/2021
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0.3
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$25,000,000
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2/22/2021
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3130ALGQ1
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3/10/2021
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6/10/2024
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9/10/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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9/10/2021
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0.3
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$25,000,000
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2/22/2021
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3130ALGR9
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2/26/2021
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2/26/2026
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8/26/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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5/26/2021
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0.85
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$300,000,000
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2/22/2021
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3130ALGT5
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3/3/2021
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9/2/2025
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9/2/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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9/2/2022
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0.555
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$26,130,000
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2/22/2021
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3130ALGX6
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2/24/2021
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2/24/2028
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8/24/2021
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Optional Principal Redemption
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Bermudan
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Fixed Step Up
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2/24/2023
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0.4
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$15,000,000
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2/23/2021
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3130ALGD0
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3/17/2021
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3/17/2027
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9/17/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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3/17/2022
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1
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$10,000,000
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2/23/2021
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3130ALGD0
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3/17/2021
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3/17/2027
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9/17/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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3/17/2022
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1
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$10,000,000
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2/23/2021
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3130ALHM9
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3/10/2021
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6/10/2024
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9/10/2021
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Optional Principal Redemption
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Bermudan
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Fixed Constant
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3/10/2022
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0.3
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$40,000,000
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