CusipIssueDateSecurityTypeSecurityTermMaturityDateInterestRateRefCpiOnIssueDateAnnouncementDateAuctionDateAuctionDateYearDatedDateRefCpiOnDatedDateAccruedInterestPer1000AccruedInterestPer100AdjustedAccruedInterestPer1000AdjustedPriceAllocationPercentageAllocationPercentageDecimalsAnnouncedCusipAuctionFormatAverageMedianDiscountRateAverageMedianInvestmentRateAverageMedianPriceAverageMedianDiscountMarginAverageMedianYieldBackDatedBackDatedDateBidToCoverRatioCallDateCallableCalledDateCashManagementBillCMBClosingTimeCompetitiveClosingTimeNoncompetitiveCompetitiveAcceptedCompetitiveBidDecimalsCompetitiveTenderedCompetitiveTendersAcceptedCorpusCusipCpiBaseReferencePeriodCurrentlyOutstandingDirectBidderAcceptedDirectBidderTenderedEstimatedAmountOfPubliclyHeldMaturingSecuritiesByTypeFimaIncludedFimaNoncompetitiveAcceptedFimaNoncompetitiveTenderedFirstInterestPeriodFirstInterestPaymentDateFloatingRateFrnIndexDeterminationDateFrnIndexDeterminationRateHighDiscountRateHighInvestmentRateHighPriceHighDiscountMarginHighYieldIndexRatioOnIssueDateIndirectBidderAcceptedIndirectBidderTenderedInterestPaymentFrequencyLowDiscountRateLowInvestmentRateLowPriceLowDiscountMarginLowYieldMaturingDateMaximumCompetitiveAwardMaximumNoncompetitiveAwardMaximumSingleBidMinimumBidAmountMinimumStripAmountMinimumToIssueMultiplesToBidMultiplesToIssueNlpExclusionAmountNlpReportingThresholdNoncompetitiveAcceptedNoncompetitiveTendersAcceptedOfferingAmountOriginalCusipOriginalDatedDateOriginalIssueDateOriginalSecurityTermPdfFilenameAnnouncementPdfFilenameCompetitiveResultsPdfFilenameNoncompetitiveResultsPdfFilenameSpecialAnnouncementPricePer100PrimaryDealerAcceptedPrimaryDealerTenderedReopeningSecurityTermDayMonthSecurityTermWeekYearSeriesSomaAcceptedSomaHoldingsSomaIncludedSomaTenderedSpreadStandardInterestPaymentPer1000StrippableTermTiinConversionFactorPer1000TipsTotalAcceptedTotalTenderedTreasuryDirectAcceptedTreasuryDirectTendersAcceptedTypeUnadjustedAccruedInterestPer1000UnadjustedPriceXmlFilenameAnnouncementXmlFilenameCompetitiveResultsXmlFilenameSpecialAnnouncement
912810RY62017-09-15T00:00:00Bond29-Year 11-Month2047-08-15T00:00:002.7500002017-09-07T00:00:002017-09-13T00:00:0020172017-08-15T00:00:002.316580000020.4000002Single-Price2.739000Yes2017-08-15T00:00:002.210000NoNo01:00 PM12:00 PM11995788000326484028000Yes912803EZ219513000000.000000818000000132300000027005000000Yes00Normal2018-02-15T00:00:00No99.1895032.790070515080008315128000Semi-Annual2.1880002017-09-15T00:00:00420000000050000004200000000100100100100100530000000042000000004213700Yes120000000002017-08-15T00:00:002017-08-15T00:00:0030-YearA_20170907_2.pdfR_20170913_1.pdfNCR_20170913_1.pdf99.189503412628000016845900000Yes11-Month29-YearBonds of August 204700No013.7500Yes30-YearNo12000001700264882417002904700YesBondA_20170907_2.xmlR_20170913_1.xml