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Recently Issued US Treasury Bill
What are Recently Issued US Treasury Bills?
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Recently Issued US Treasury Bills are:
Term CUSIP Issue Date Maturity Investment Rate ----------------------------------------------------------- 4-Week 912797NH6 01/21/2025 02/18/2025 4.313% 8-Week 912797NR4 01/21/2025 03/18/2025 4.322% 17-Week 912797PJ0 01/21/2025 05/20/2025 4.329% 13-Week 912797KS5 01/16/2025 04/17/2025 4.330% 26-Week 912797PE1 01/16/2025 07/17/2025 4.330% 4-Week 912797NG8 01/14/2025 02/11/2025 4.318% 8-Week 912797NQ6 01/14/2025 03/11/2025 4.327% 17-Week 912797PH4 01/14/2025 05/13/2025 4.308% 13-Week 912797NB9 01/09/2025 04/10/2025 4.309% 26-Week 912797LW5 01/09/2025 07/10/2025 4.256%
Note that T-Bills carry no coupons. Investment rates listed above are BEYs (Bond Equivalent Yields) generated from reduced prices when T-Bills were auctioned initially.
For the latest US Treasury Bills, visit "Announcements, Data & Results" treasurydirect.gov Website.
⇒ Auction Date of US Treasury Bill
2025-01-20, ∼1381🔥, 0💬
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