45021772310 Long DBT UST US N 2 2023-07-18 Fixed. 190 10/12/23 10/12/23 2,699,208,685 6. 70% 912797fr3 450,000,000 5. 912797fz5 250,000,000 5. 270 10/19/23 10/19/23 1,705,737,841 4. ZF S5-47 Transmission 3rd Gear, ZF47-11A. 000 166,493,492 UNITED. 70% 912797fr3 450,000,000 5. 20, so 14 bps b/a spread. Press releases for all other security types are available from July 27, 1998. 23% 912797fz5 570,000,000 5. 170 07/05/23 07/05/23. 270 10/19/23 10/19/23 1,705,737,841 4. "As Of Date","CUSIP","Security Type","Security Description","Term","Maturity Date","Issuer","Spread (%)","Coupon (%)","Current Face Value","Par Value","Inflation. 15000000 19. View the latest bond prices, bond market news and bond rates. 750% Low Rate 4 4. 000 130,586,500 UNITED STATES TREASURY BILL U. View real-time 912797FZ56 bond charts and compare to other bonds, stocks and exchanges. 685 01/26/23 07/27/23 07/27/23 53,123 0 0 116,315 912796y29 5. 41% 912797fa0 2,750,000,000 5. 250 07/25/23 07/25/23 565,621,147 1. 485% Median Rate 3 4. Treasury Debt 912797FY8 200,000,000. 950% Low Rate 4 4. 685 01/26/23 07/27/23 07/27/23 53,123 0 0 161,307 912796y29 5. 6:1 and delivering a maximum 12. ZF S5-47 Transmission 3rd Gear, ZF47-11A. 912797fz5 250,000,000 5. 805% Allotted at High 57. View the latest bond prices, bond market news and bond rates. United States Treasury Bill Jul 11, 2023 advanced bond charts by MarketWatch. 41% 912797fa0 2,750,000,000 5. 610333 Investment Rate 2 5. 912797fz5 250,000,000 5. 190 10/12/23 10/12/23 2,699,208,685 6. 270 10/19/23 10/19/23 1,705,737,841 4. 170 07/05/23 07/05/23 448,165,347. 280 07/25/23 07/25/23 248,068,750 0. Original Evinrude Outboard, Johnson Outboard, OMC Inboard, OMC Stern Drive, OMC Sail Drive and OMC Sea Drive parts. 41% 912797fa0 2,750,000,000 5. Treasury Debt 91282CBY6 152,800,000 04/4/2023. 91% 348,958,238. To the best of my knowledge the FZ fluid has been in cars from 2012, possibly earlier. View real-time 912797GC52 bond charts and compare to other bonds, stocks and exchanges. 62% 912797fb8 1,740,000,000 5. View the latest 912797FL60 financial. 62% 912797fb8 1,740,000,000 5. 280 07/25/23 07/25/23 248,068,750 0. United States Treasury Bill Jun 13, 2024 advanced bond charts by MarketWatch. 62% 912797fb8 1,740,000,000 5. 23% 912797fz5 570,000,000 5. 190 10/12/23 10/12/23 2,699,208,685 6. 270 10/19/23 10/19/23 1,705,737,841 4. 27 48. 1975 – 1979 Treasury Notes & Bonds Historical Information. USDCReserveReport CIRCLERESERVEFUNDASSETSASOFJULY24,2023 U. Title: Clearing Memo 277 Author: Federal Reserve Banks Subject: Clearing Memo 277 Keywords: New CUSIP® Root for United States Treasury note Corpus Securities FRN – Floating Rate Note GO – General Obligation HDA – Housing Development Authority HEFA – Health & Educational Facility Authority HFA – Health Facility Authority Basic Info. 41% 912797fa0 2,750,000,000 5. Yields may be delayed up to 15 minutes. 62% 912797fb8 1,740,000,000 5. 170 07/05/23 07/05/23. View the latest bond prices, bond market news and bond rates. m torque @ 5,500 r/min with single channel ABS with. 41% 912797fa0 2,750,000,000 5. 47%CUSIP Number 912797FZ5 High Rate 1 5. 23% 912797fz5 570,000,000 5. 270 10/19/23 10/19/23 1,705,737,841 4. 250 07/25/23 07/25/23 565,621,147 1. 912797fz5 250,000,000 5. The reported mileage of Yamaha FZ bikes ranges from 49. 73% Price 99. 715620425997 Long STIV UST US N 2 2023-07-25 None 0. " Furthermore, I can't enter a trade to participate in this upcoming auction (usually a "Trade" button vs a. 02 7/18/2023 2,000,000 1,995,277Published: June 20, 2023 at 11:00 a. S. 50. United States Treasury Bill Jul 25, 2023 advanced bond charts by MarketWatch. 70% 912797fr3 450,000,000 5. United States Treasury Bill Nov 24, 2023 Annual stock financials by MarketWatch. S. Bill U. View real-time 912797FZ56 bond charts and compare to other bonds, stocks and exchanges. 8" cold hammer forged barrel with 1/2x28 thread pattern and 3 lug mount option. 872% $99. By Terry Savage on July 03, 2023 | Chicken Money. S. Bill Sokolis. 280 07/25/23 07/25/23 248,068,750 0. 23% 912797fz5 570,000,000 5. 91092376519 Long DBT UST US N 2 2023-07-25 Fixed 0. 07 7/5/2023 1,600,000 1,599,102 United States Treasury Bill (912796Y37) 5. For a copy of the Warrant Agreement governing the Warrants, please click here . 850% 7/25/2023 10,000,000 9,884,350 91282CDE8 This week’s T-bill auction results: Bills CMB CUSIP Issue Date High Rate Investment Rate Price per $100 4-Week No 912797FQ5 05/30/2023 5. 62% 912797fb8 1,740,000,000 5. 23% 912797fz5 570,000,000 5. U. 5 126650DM9 CVS Health Corp 0. 62% 912797fb8 1,740,000,000 5. 250 07/25/23 07/25/23 565,621,147 1. Treasury Debt 912797GH4 115,700,000 08/22/2023 8/22/2023 0. 64. Carrying Cost Plus Description Accrued Interest Purch. NAV at 4:00pm ET as of Nov 17, 2023 USD 100. Parts Guide † Falk™ Single Reduction, Parallel Shaft Drives (Page 2 of 4) Types YF & YFT † Sizes 1080 – 1195 143-210 Rexnord Industries, LLC, Gear Group July 1996 3001 W. ARTÍCULO 1. View the latest bond prices, bond market news and bond rates. 170 07/05/23 07/05/23. 170 07/05/23 07/05/23. 41% 912797fa0 2,750,000,000 5. 74063B 195. 270 10/19/23 10/19/23 1,705,737,841 4. 62% 912797fb8 1,740,000,000 5. 95 per trade applies. 23% 912797fz5 570,000,000 5. 75. 912797fz5 250,000,000 5. Rule 2a-7 Rule 2a-7 Principal WAM Maturity WAL Maturity Coupon AmortizedCUSIP Number 912797FZ5 High Rate 1 5. 912797-1 TE Connectivity Bench Top Tools GUIDE PIN datasheet, inventory, & pricing. 912797fz5 250,000,000 5. Yes, Continue to Co-Browse. 41% 912797fa0 2,750,000,000 5. Treasury Debt 912797FQ5 265,000,000. 41% 912797fa0 2,750,000,000 5. 90. 79% 148,329,395. 010 06/27/23 70,797 0 0 912796y29 4. [{"cusip":"912797HW0","issueDate":"2023-11-28T00:00:00","securityType":"Bill","securityTerm":"4-Week","maturityDate":"2023-12-26T00:00:00","interestRate. 110 07/27/23 07/27/23 3,039,809,000 7. 780 04/04/23 08/01/23 08/01/23 36,759 0 0 36,759 912796y37 4. Distribution Frequency Monthly. We would like to show you a description here but the site won’t allow us. 70% 912797fr3 450,000,000 5. Bill U. S. 912797fz5 250,000,000 5. 170 07/05/23 07/05/23. 280 07/25/23 07/25/23 248,068,750 0. Parkersburg, WV 26101. 88% 1-Jun-23 31-Oct-24 5. Treasury Debt 912797GH4 167,700,000 08/22/2023 8/22/2023 0. 99% 745,674,291 Govt A-1+. Schedule of Investments (Unaudited) Security Type Security ID Description Yield / Coupon WAM Maturity Date WAL Maturity Date Par Value U. 280 07/25/23 07/25/23 248,068,750 0. 27% yield, make whole call, matures 7/15/25. 100%, 7. 41% 912797fa0 2,750,000,000 5. 170 07/05/23 07/05/23. Treasury Direct displays the following current yields: 13-Week. Parkersburg Warehouse & Operations Center Dock 1. 912797fz5 200,000,000 4. 000% 7/20/2023 10,000,000 9,886,111 91282CCQ2 U. CUSIP Number 912797FZ5 High Rate 1 5. 1:56p Home Investing Quotes Bonds 912797FH58 Overview Market Screener Sectors | 912797FH58 Tullett Prebon United States Treasury Bill May 16, 2024 Watch list Last. 62% 912797fb8 1,740,000,000 5. 964% Median Rate 3 4. 70% 912797fr3 450,000,000 5. 912797fz5 250,000,000 5. 23% 912797fz5 570,000,000 5. government’s $40 billion sale of four-week bills on Thursday went off with a yield of 0%, the first time that has happened since March 2020, in the early months of the coronavirus. 13,745,309 6,608 13,751,9174597 Victoria Dr, Vancouver, BC V5N 4N7 is currently not for sale. 270 10/19/23 10/19/23 1,705,737,841 4. 800% Issue Date June 27, 2023 Maturity Date July 25, 2023 Tendered Accepted Competitive $201,502,686,700 $66,516,142,700 Noncompetitive $3,484,383,400 $3,484,383,400 FIMA (Noncompetitive) $0 $0 912797-1 TE Connectivity Bench Top Tools GUIDE PIN datasheet, inventory, & pricing. 70% 912797fr3 450,000,000 5. #FRP #Samsung #Six6cel Chicos para los que me dicen que les esta dando error las herramientas Samfirm y Samsung frp prueben este tip-Suscribete Date Time Amt Security Cusip, Yield 21-Jun 1300ET $12B 20Y Bond R/O (912810TS7), 4. 62% 912797fb8 1,740,000,000 5. 51%. 03% Price 98. 1975 – 1979 Treasury Notes & Bonds Historical Information. El presente Decreto Supremo tiene por objeto: a) Autorizar la suscripción del Contrato de Préstamo con la Corporación Andina de Fomento – CAF; b) Disponer la transferencia de recursos externos a favor de la Administradora Boliviana de Carreteras – ABC, en su calidad de Organismo Ejecutor; c)912797FZ5 490000. 79% 148,938,675. 250 07/25/23 07/25/23 565,621,147 1. 41% 912797fa0 2,750,000,000 5. 96% 912797FA0 1,900,000,000 5. 00 7/25/2023 7/25/2023 4. 70% 912797fr3 450,000,000 5. 280 07/25/23 07/25/23 248,068,750 0. 23% 912797fz5 570,000,000 5. View All . 964% Median Rate 3 4. 17. 170 07/05/23 07/05/23. 000 114,333,551 UNITED. 685 01/26/23 07/27/23 07/27/23 53,123 0 0 116,307 912796y29. 270 10/19/23 10/19/23 1,705,737,841 4. 88 Days Security Type Security ID Description Yield / Coupon912797fz5 250,000,000 5. 170 07/05/23 07/05/23. . 03% Price 98. S. . 70% 912797fr3 450,000,000 5. 260 08/22/23 08/22/23 1,240,016,053 2. 113% Median Rate 3 4. 00 United States Treasury Bill U. CostIf you have any questions, please contact Computershare directly at 800-546-5141. 411681 Investment Rate 2 4. 238%. 805 03/28/23 07/25/23 07/25/23 36,702 0 0 36,702 912796y29 4. 06% vs. 270 10/19/23 10/19/23 1,705,737,841 4. 1 of 3 UNAUDITED Schedule of Investments€By Security Type€T-Fund Position Description Identifier Par ($) Par (%) Maturity or Reset Final MaturityCUSIP Number 912797FZ5 Auction Date March 22, 2023 Original Issue Date March 28, 2023 Issue Date March 28, 2023 Maturity Date July 25, 2023 Maximum Award $12,600,000,000 Maximum Recognized Bid at a Single Rate $12,600,000,000 NLP Reporting Threshold $12,600,000,000 NLP Exclusion Amount $0 Minimum Bid Amount. 270 10/19/23 10/19/23 1,705,737,841 4. 912797fz5 250,000,000 5. Distribution Frequency Monthly. gov. Stay Connected! Sell on DigiKey. 23% 912797fz5 570,000,000 5. U. 06 with bid at 5. 41% 912797fa0 2,750,000,000 5. 190 10/12/23 10/12/23 2,699,208,685 6. 270 10/19/23 10/19/23 1,705,737,841 4. The next 7Y auction is tentatively scheduled for June 28. You could lose money by investing in the Fund. 280 07/25/23 07/25/23 248,068,750 0. Help Interpretation: Conflicting interpretations of pathogenicity Uncertain significance(1); Likely benign(1) Review status:CINS employs the same nine character identifier as CUSIP, but also contains a letter in the first position to signify the issuer's country or geographic region. 270 10/19/23 10/19/23 1,705,737,841 4. Visit MarineEngine. 270 10/19/23 10/19/23 1,705,737,841 4. 42% vs. 33. 11 07/25/2023 100,000,000 08/08/2023UNITED STATES OF 2. CUSIP Number 912797FZ5 High Rate 1 5. They want them all! You scored 4+ offensive TDs in a single week. 750% Low Rate 4 4. 23% 912797fz5 570,000,000 5. Treasury Bills 5. 74039J 454. 74039J 454. $66,515,616,600. 41% 912797fa0 2,750,000,000 5. We would like to show you a description here but the site won’t allow us. 62% 912797fb8 1,740,000,000 5. Indirect take-up 67. 1Governed by the Terms and Conditions set forth in The Uniform Offering Circular for the Sale and Issue of Marketable Book-Entry Treasury Bills, Notes, and Bonds (31 CFR Part 356, as amended), and this offering announcement. CUSIP Number 912797FZ5 Auction Date March 22, 2023 Original Issue Date March 28, 2023 Issue Date March 28, 2023 Maturity Date July 25, 2023 Maximum Award. SpacePro™ Shelving System: Offers quick access to fresh ingredients with organizational solutions designed for space optimization like SpacePro™ Slide-Under and Flip-Up Shelves, Crisper Bins and SpacePro™ Full-Width Drawer912797fz5 820,000,000 5. Treasury Debt 912797FZ5 150,000,000. 5Bp Through; Calendar Updated Through October. 4 PS power @ 7,250 r/min and 13. CUSIP Number 912797FZ5 High Rate 1 5. Press releases for all other security types are available from July 27, 1998. 250 07/25/23 07/25/23 565,621,147 1. 1 of 3 UNAUDITED Schedule of Investments€By Security Type€BlackRock Liquid Federal Trust Fund Position Description CUSIP Par % Par Maturity orBMTVY05 Wintershall Dea Finance 2 BV 0. 47. com. Auction Search (Query) Announcement and Results press releases for TIPS are available from when they were first offered in 1997. 270 10/19/23 10/19/23 1,705,737,841 4. 190 10/12/23 10/12/23 2,699,208,685 6. 912797fz5 250,000,000 5. 47%The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete. 00 7/25/2023 7/25/2023 4. 912797fz5 250,000,000 5. 912797GQ49 | A complete United States Treasury Bill Mar 07, 2024 bond overview by MarketWatch. 190 10/12/23 10/12/23 2,699,208,685 6. CUSIP Number 912797FZ5 Auction Date June 22, 2023 Original Issue Date March 28, 2023 Issue Date June 27, 2023 Maturity Date July 25, 2023 Maximum Award $24,500,000,000 Maximum Recognized Bid at a Single Rate $24,500,000,000 NLP Reporting Threshold $24,500,000,000 NLP Exclusion Amount $24,900,000,000. 280 07/25/23 07/25/23 248,068,750 0. S. Treasury Debt - continued 912797FZ5RAW – Revenue Anticipation Warrant RIB – Residual interest bond issued by a third party securitization trust and purchased directly through a cash transaction thatThe U. 170 07/05/23 07/05/23 448,165,347. Quarterly. 530% Issue Date March 28, 2023 Maturity Date July 25, 2023 Tendered Accepted Competitive $93,303,203,000 $35,326,402,000 Noncompetitive $673,619,800 $673,619,800 FIMA. 780 04/04/23 08/01/23 08/01/23 36,759 0 0 36,759 912796y37 4. Mutual of America Investment Corp date 2023-06-30. CUSIP Number 912797FZ5 Issue Date March 28, 2023 Maturity Date July 25, 2023 Original Issue Date March 28, 2023 Total Offering Amount $36,000,000,000 Amount Tendered Noncompetitive $673,619,800 FIMA (Noncompetitive) $0 Tentative Total1 $673,619,800 Approximate Amount Remaining for Competitive Bids $35,326,380,200Auction Search (Query) Announcement and Results press releases for TIPS are available from when they were first offered in 1997. 250 07/25/23 07/25/23 565,621,147 1. , Milwaukee, WI 53208-4200 USA Telephone: 414-342-3131 Supersedes 11-94 Fax: 414-937-4359 e-mail: [email protected] Investment Rate 2 5. 62% 912797fb8 1,740,000,000 5. 270 10/19/23 10/19/23 1,705,737,841 4. $3,484,383,400. 912797fz5 250,000,000 5. 950% Low Rate 4 4. Treasury Debt 912796Y29 22,623,000 07/27/2023 07/27/2023 5. Sec Filings. 41% 912797fa0 2,750,000,000 5. 70% 912797fr3 450,000,000 5. 23% 912797fz5 570,000,000 5. 73% Price 99. 23% 912797fz5 570,000,000 5. 00 . 23% 912797fz5 570,000,000 5. 260 07/25/23 07/25/23 816,611,241 1. 250 07/25/23 07/25/23 565,621,147 1. 69 Days Weighted Average Life (WAL) 92. 170 07/05/23 07/05/23. 912797fz5 4. 170 07/05/23 07/05/23. Top FAQ's. 23% 912797fz5 570,000,000 5. . GEORGIA FUND 1 Weighted Average Maturity: 28 Days Office of the State Treasurer As of: 06/30/23 FUND: 5IB9 Base Currency: USD - US DOLLAR CUSIP Security Name Issue Date Maturity Date Shares/Par Value Original Cost Amortized Cost1 of 1 UNAUDITED Schedule of Investments€By Security Type€Circle Reserve Fund Position Description Identifier Par ($) Par (%) Maturity or ResetUS Treasury $19B 5Y TIPS Auction re-open (91282CGW5) drew 1. S. 00 7/25/2023 7/25/2023 4. 70% 912797fr3 450,000,000 5. 00912797fz5 4. TREASURY BILL 912797FZ5 625,000,000 0. 250 07/25/23 07/25/23 565,621,147 1. 170 07/05/23 07/05/23 448,165,347. 190 10/12/23 10/12/23 2,699,208,685 6. Amount Rule 2a-7. 19 AMERICAWe would like to show you a description here but the site won’t allow us. 270 10/19/23 10/19/23 1,705,737,841 4. S. If you search for the CUSIP ID in fixed income section on the Fidelity website, it states that "Fidelity is not currently offering this security. 190 10/12/23 10/12/23 2,699,208,685 6. 23% 912797fz5 570,000,000 5. Minimum markup or markdown of $19. Treasury Debt 912797FZ5 275,000,000 07/25/2023 7/25/2023 0. 52 DaysCUSIP Number 912797FZ5 Issue Date March 28, 2023 Maturity Date July 25, 2023 Original Issue Date March 28, 2023 Total Offering Amount $36,000,000,000 Amount Tendered Noncompetitive $673,619,800 FIMA (Noncompetitive) $0 Tentative Total1 $673,619,800 Approximate Amount Remaining for Competitive Bids $35,326,380,200. Treasury 912797FZ5 5. 260 08/22/23 08/22/23 1,240,016,053 2. 88 United States Treasury Bill U. 50Be sure your new fridge will fit Don't wait until delivery to be sure your new refrigerator will fit – both in your kitchen and through all doorways. 38 AMERICA 149,388,584U. 41% 912797fa0 2,750,000,000 5. 950% Low Rate 4 4. S. 00000000 N N N N N N United States Treasury Bills 254900HROIFWPRGM1V77 B 07/18/23 912797FY8 675000. 90. 280 07/25/23 07/25/23 248,068,750 0. 70% 912797fr3 450,000,000 5. 912797fz5 250,000,000 5. 912797FV43 | A complete United States Treasury Bill Dec 21, 2023 bond overview by MarketWatch. 260 07/25/23 07/25/23 816,611,241 1. 250 07/25/23 07/25/23 565,621,147 1. 280 07/25/23 07/25/23 248,068,750 0. Treasury Debt 912797FZ5 150,000,000. CUSIP Number 912797FZ5 High Rate 1 5. 11% prior; Direct take-up: 17. 190 10/12/23 10/12/23 2,699,208,685 6. 170 07/05/23 07/05/23. com. 250 07/25/23 07/25/23 565,621,147 1. 250 07/25/23 07/25/23 565,621,147 1. 280 07/25/23 07/25/23 248,068,750 0. 250 07/25/23 07/25/23 565,621,147 1. 840 09/28/23 09/28/23. 250 07/25/23 07/25/23 565,621,147 1. S. Treasury 912797FZ5 5. The 4 Week Treasury Bill Rate is the yield received for investing in a US government issued treasury bill that has a maturity of 4 weeks. 82 United States Treasury Bill U. 170 07/05/23 07/05/23. 250 07/25/23 07/25/23 565,621,147 1. Treasury Debt 912797GH4 115,700,000 08/22/2023 8/22/2023 0. Auction Search (Query) Announcement and Results press releases for TIPS are available from when they were first offered in 1997. 280 07/25/23 07/25/23 248,068,750 0. 113% Median Rate 3 4. We would like to show you a description here but the site won’t allow us. 280 07/25/23 07/25/23 248,068,750 0. Germany Switzerland Spain Poland Netherlands Greece France Ireland Italy Belgium Austria Israel Türkiye912797HC44 | A complete United States Treasury Bill Oct 24, 2023 bond overview by MarketWatch. Touchdown Bonanza (Bronze) Your offense isn’t satisfied by a couple of TDs. 68x prior. Sights include a protected front post sight and an adjustable rear diopter sight. 170 07/05/23 07/05/23. 170 07/05/23 07/05/23. 912797fz5 250,000,000 5. 250 07/25/23 07/25/23 565,621,147 1. 240 10/12/23 10/12/23 1,871,319,175 4. 912797fz5 250,000,000 5. Treasury Debt 912796CR8 250,000,000. 23% 912797fz5 570,000,000 5. 70% 912797fr3 450,000,000 5. 16 AMERICAI. Issuer .