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CUSIP: 912810UL0 - US Treasury Bond, 5%, 2045-05-15
Where to find more information on CUSIP: 912810UL0 - US Treasury Bond, 5%, 2045-05-15
and its interest payments?
✍: FYIcenter.com
Detailed information on CUSIP: 912810UL0 - US Treasury Bond, 5%, 2045-05-15 (20-Year ) and its interest payments are presented below.
CUSIP: 912810UL0
Issuer: US Treasury
Dated date: 2025-05-15
Maturity date: 2045-05-15
Term: 20-Year
Type: Bond
Interest rate: 5%
Interest frequency: Semiannually
Original par value: $1000 as an example
Interests are paid Semiannually:
Date Par Value Interest
---------- --------------- -------------
2025-05-15 $1,000.00 Dated date
2025-11-15 $1,000.00 $25.00
2026-05-15 $1,000.00 $25.00
2026-11-15 $1,000.00 $25.00
2027-05-15 $1,000.00 $25.00
2027-11-15 $1,000.00 $25.00
2028-05-15 $1,000.00 $25.00
2028-11-15 $1,000.00 $25.00
2029-05-15 $1,000.00 $25.00
2029-11-15 $1,000.00 $25.00
2030-05-15 $1,000.00 $25.00
2030-11-15 $1,000.00 $25.00
2031-05-15 $1,000.00 $25.00
2031-11-15 $1,000.00 $25.00
2032-05-15 $1,000.00 $25.00
2032-11-15 $1,000.00 $25.00
2033-05-15 $1,000.00 $25.00
2033-11-15 $1,000.00 $25.00
2034-05-15 $1,000.00 $25.00
2034-11-15 $1,000.00 $25.00
2035-05-15 $1,000.00 $25.00
2035-11-15 $1,000.00 $25.00
2036-05-15 $1,000.00 $25.00
2036-11-15 $1,000.00 $25.00
2037-05-15 $1,000.00 $25.00
2037-11-15 $1,000.00 $25.00
2038-05-15 $1,000.00 $25.00
2038-11-15 $1,000.00 $25.00
2039-05-15 $1,000.00 $25.00
2039-11-15 $1,000.00 $25.00
2040-05-15 $1,000.00 $25.00
2040-11-15 $1,000.00 $25.00
2041-05-15 $1,000.00 $25.00
2041-11-15 $1,000.00 $25.00
2042-05-15 $1,000.00 $25.00
2042-11-15 $1,000.00 $25.00
2043-05-15 $1,000.00 $25.00
2043-11-15 $1,000.00 $25.00
2044-05-15 $1,000.00 $25.00
2044-11-15 $1,000.00 $25.00
2045-05-15 $1,000.00 $25.00
2025-09-24, ∼455🔥, 0💬
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