CusipIssueDateSecurityTypeSecurityTermMaturityDateInterestRateRefCpiOnIssueDateAnnouncementDateAuctionDateAuctionDateYearDatedDateRefCpiOnDatedDateAccruedInterestPer1000AccruedInterestPer100AdjustedAccruedInterestPer1000AdjustedPriceAllocationPercentageAllocationPercentageDecimalsAnnouncedCusipAuctionFormatAverageMedianDiscountRateAverageMedianInvestmentRateAverageMedianPriceAverageMedianDiscountMarginAverageMedianYieldBackDatedBackDatedDateBidToCoverRatioCallDateCallableCalledDateCashManagementBillCMBClosingTimeCompetitiveClosingTimeNoncompetitiveCompetitiveAcceptedCompetitiveBidDecimalsCompetitiveTenderedCompetitiveTendersAcceptedCorpusCusipCpiBaseReferencePeriodCurrentlyOutstandingDirectBidderAcceptedDirectBidderTenderedEstimatedAmountOfPubliclyHeldMaturingSecuritiesByTypeFimaIncludedFimaNoncompetitiveAcceptedFimaNoncompetitiveTenderedFirstInterestPeriodFirstInterestPaymentDateFloatingRateFrnIndexDeterminationDateFrnIndexDeterminationRateHighDiscountRateHighInvestmentRateHighPriceHighDiscountMarginHighYieldIndexRatioOnIssueDateIndirectBidderAcceptedIndirectBidderTenderedInterestPaymentFrequencyLowDiscountRateLowInvestmentRateLowPriceLowDiscountMarginLowYieldMaturingDateMaximumCompetitiveAwardMaximumNoncompetitiveAwardMaximumSingleBidMinimumBidAmountMinimumStripAmountMinimumToIssueMultiplesToBidMultiplesToIssueNlpExclusionAmountNlpReportingThresholdNoncompetitiveAcceptedNoncompetitiveTendersAcceptedOfferingAmountOriginalCusipOriginalDatedDateOriginalIssueDateOriginalSecurityTermPdfFilenameAnnouncementPdfFilenameCompetitiveResultsPdfFilenameNoncompetitiveResultsPdfFilenameSpecialAnnouncementPricePer100PrimaryDealerAcceptedPrimaryDealerTenderedReopeningSecurityTermDayMonthSecurityTermWeekYearSeriesSomaAcceptedSomaHoldingsSomaIncludedSomaTenderedSpreadStandardInterestPaymentPer1000StrippableTermTiinConversionFactorPer1000TipsTotalAcceptedTotalTenderedTreasuryDirectAcceptedTreasuryDirectTendersAcceptedTypeUnadjustedAccruedInterestPer1000UnadjustedPriceXmlFilenameAnnouncementXmlFilenameCompetitiveResultsXmlFilenameSpecialAnnouncement
912810SW92021-03-31T00:00:00Bond19-Year 11-Month2041-02-15T00:00:001.8750002021-03-11T00:00:002021-03-16T00:00:0020212021-02-15T00:00:002.279010000098.8300002Single-Price2.240000Yes2021-02-15T00:00:002.510000NoNo01:00 PM12:00 PM23997803700360287185000Yes912803FW832849000000.0000004087000000717800000071594000000Yes00Normal2021-08-15T00:00:00No93.4005512.29001473626620021452185000Semi-Annual0.8800002021-03-31T00:00:00840000000050000008400000000100100100100100950000000084000000002196900Yes240000000002021-02-15T00:00:002021-03-01T00:00:0020-YearA_20210311_2.pdfR_20210316_2.pdfNCR_20210316_2.pdf93.400551517453750031657000000Yes11-Month19-YearBonds of February 2041430970680039506000000No43097068009.3750Yes20-YearNo28309707400645990887001420900YesBondA_20210311_2.xmlR_20210316_2.xml
912810SU32021-04-15T00:00:00Bond29-Year 10-Month2051-02-15T00:00:001.8750002021-04-08T00:00:002021-04-13T00:00:0020212021-02-15T00:00:003.055940000054.8500002Single-Price2.270000Yes2021-02-15T00:00:002.470000NoNo01:00 PM12:00 PM23993018000359171672000Yes912803FV062282000000.0000005265970000781000000061366000000Yes00Normal2021-08-15T00:00:00No90.4542002.32001462564800019005672000Semi-Annual2.1900002021-04-15T00:00:008400000000500000084000000001001001001001001790000000084000000007015000Yes240000000002021-02-15T00:00:002021-02-16T00:00:0030-YearA_20210408_3.pdfR_20210413_2.pdfNCR_20210413_2.pdf90.454200410140000032356000000Yes10-Month29-YearBonds of February 2051368440240018422000000No36844024009.3750Yes30-YearNo27684435400628630894004364000YesBondA_20210408_3.xmlR_20210413_2.xml