CusipIssueDateSecurityTypeSecurityTermMaturityDateInterestRateRefCpiOnIssueDateAnnouncementDateAuctionDateAuctionDateYearDatedDateRefCpiOnDatedDateAccruedInterestPer1000AccruedInterestPer100AdjustedAccruedInterestPer1000AdjustedPriceAllocationPercentageAllocationPercentageDecimalsAnnouncedCusipAuctionFormatAverageMedianDiscountRateAverageMedianInvestmentRateAverageMedianPriceAverageMedianDiscountMarginAverageMedianYieldBackDatedBackDatedDateBidToCoverRatioCallDateCallableCalledDateCashManagementBillCMBClosingTimeCompetitiveClosingTimeNoncompetitiveCompetitiveAcceptedCompetitiveBidDecimalsCompetitiveTenderedCompetitiveTendersAcceptedCorpusCusipCpiBaseReferencePeriodCurrentlyOutstandingDirectBidderAcceptedDirectBidderTenderedEstimatedAmountOfPubliclyHeldMaturingSecuritiesByTypeFimaIncludedFimaNoncompetitiveAcceptedFimaNoncompetitiveTenderedFirstInterestPeriodFirstInterestPaymentDateFloatingRateFrnIndexDeterminationDateFrnIndexDeterminationRateHighDiscountRateHighInvestmentRateHighPriceHighDiscountMarginHighYieldIndexRatioOnIssueDateIndirectBidderAcceptedIndirectBidderTenderedInterestPaymentFrequencyLowDiscountRateLowInvestmentRateLowPriceLowDiscountMarginLowYieldMaturingDateMaximumCompetitiveAwardMaximumNoncompetitiveAwardMaximumSingleBidMinimumBidAmountMinimumStripAmountMinimumToIssueMultiplesToBidMultiplesToIssueNlpExclusionAmountNlpReportingThresholdNoncompetitiveAcceptedNoncompetitiveTendersAcceptedOfferingAmountOriginalCusipOriginalDatedDateOriginalIssueDateOriginalSecurityTermPdfFilenameAnnouncementPdfFilenameCompetitiveResultsPdfFilenameNoncompetitiveResultsPdfFilenameSpecialAnnouncementPricePer100PrimaryDealerAcceptedPrimaryDealerTenderedReopeningSecurityTermDayMonthSecurityTermWeekYearSeriesSomaAcceptedSomaHoldingsSomaIncludedSomaTenderedSpreadStandardInterestPaymentPer1000StrippableTermTiinConversionFactorPer1000TipsTotalAcceptedTotalTenderedTreasuryDirectAcceptedTreasuryDirectTendersAcceptedTypeUnadjustedAccruedInterestPer1000UnadjustedPriceXmlFilenameAnnouncementXmlFilenameCompetitiveResultsXmlFilenameSpecialAnnouncement
912810SE92018-11-15T00:00:00Bond30-Year2048-11-15T00:00:003.3750002018-10-31T00:00:002018-11-07T00:00:0020182018-11-15T00:00:0072.3200002Single-Price3.360000No2.060000NoNo01:00 PM12:00 PM18993389800339089045000Yes912803FF5550000000122500000054344000000Yes00Normal2019-05-15T00:00:00No99.1970823.41801121638980011867045000Semi-Annual3.2700002018-11-15T00:00:00665000000050000006650000000100100100100100066500000006610700Yes1900000000030-YearA_20181031_1.pdfR_20181107_1.pdfNCR_20181107_1.pdf99.197082722700000025997000000No0-Month30-YearBonds of November 2048387468470034304000000No387468470016.8750Yes30-YearNo22874685200429703404004045700YesBondA_20181031_1.xmlR_20181107_1.xml