ps6034.htm

Rule 424 (b) (3)
Registration No. 333-177949
CUSIP #:63743HEG3
 
CALCULATION OF REGISTRATION FEE
 
Title of Each Class of
Securities Offered
Maximum Aggregate
Offering Price
Amount of
Registration
Fee(1)(2)
Senior Debt Securities
$250,000,000.00
$34,100.00
 
(1)
Calculated in accordance with Rule 457(r) of the Securities Act of 1933.
 
(2)
The amount in this column has been transmitted to the SEC in connection with the securities offered by means of this pricing supplement.
 
TRADE DATE: 5/21/2013
SETTLEMENT DATE: 5/29/2013
PRICING SUPPLEMENT NO. 6034 DATED May 21, 2013
TO PROSPECTUS SUPPLEMENTAL DATED November 17, 2011
AND BASE PROSPECTUS DATED November 14, 2011
     
NATIONAL RURAL UTILITES COOPERATIVE FINANCE CORPORATION
 
Medium-Term Notes, Series C
With Maturities of Nine Months or More from Date of Issue
     
 
Floating Rates Notes
 
     
Principal Amount:
$250,000,000.00
 
     
Issue Price:
100% of Principal Amount
 
     
Original Issue Date:
5/21/2013
 
     
Maturity Date:
5/27/2016
 
     
Initial Interest Rate:
Determined as if the Original Issue Date was an Interest Reset Date
 
     
Base Rate:
USD LIBOR
 
     
Spread:
Plus 25 basis points
 
     
Index Maturity
3 month
 
     
Interest Payment Dates:
February 29, May 29, August 29, and November 29, and the maturity date,
 commencing August 29, 2013
     
Interest Reset Dates:
February 29, May 29, August 29, and November 29
     
Payment at Maturity:
The payment at maturity will be 100% of the Principal Amount plus accrued and unpaid interest, if any
 
     
Redemption Date:
None
 
     
Agent’s Discount or Commission:
0.15%
 
     
Agents(s)
KeyBanc Capital Markets Inc., PNC Capital Markets LLC
 
     
Capacity:
Agent
 
     
Form of Note:
Book-Entry
 
(Book-Entry or Certificated)
   
     
Other Terms:
None
 
     
Medium-Term Notes, Series C may be issued by the Company in an unlimited aggregate principal amount.