CusipIssueDateSecurityTypeSecurityTermMaturityDateInterestRateRefCpiOnIssueDateAnnouncementDateAuctionDateAuctionDateYearDatedDateRefCpiOnDatedDateAccruedInterestPer1000AccruedInterestPer100AdjustedAccruedInterestPer1000AdjustedPriceAllocationPercentageAllocationPercentageDecimalsAnnouncedCusipAuctionFormatAverageMedianDiscountRateAverageMedianInvestmentRateAverageMedianPriceAverageMedianDiscountMarginAverageMedianYieldBackDatedBackDatedDateBidToCoverRatioCallDateCallableCalledDateCashManagementBillCMBClosingTimeCompetitiveClosingTimeNoncompetitiveCompetitiveAcceptedCompetitiveBidDecimalsCompetitiveTenderedCompetitiveTendersAcceptedCorpusCusipCpiBaseReferencePeriodCurrentlyOutstandingDirectBidderAcceptedDirectBidderTenderedEstimatedAmountOfPubliclyHeldMaturingSecuritiesByTypeFimaIncludedFimaNoncompetitiveAcceptedFimaNoncompetitiveTenderedFirstInterestPeriodFirstInterestPaymentDateFloatingRateFrnIndexDeterminationDateFrnIndexDeterminationRateHighDiscountRateHighInvestmentRateHighPriceHighDiscountMarginHighYieldIndexRatioOnIssueDateIndirectBidderAcceptedIndirectBidderTenderedInterestPaymentFrequencyLowDiscountRateLowInvestmentRateLowPriceLowDiscountMarginLowYieldMaturingDateMaximumCompetitiveAwardMaximumNoncompetitiveAwardMaximumSingleBidMinimumBidAmountMinimumStripAmountMinimumToIssueMultiplesToBidMultiplesToIssueNlpExclusionAmountNlpReportingThresholdNoncompetitiveAcceptedNoncompetitiveTendersAcceptedOfferingAmountOriginalCusipOriginalDatedDateOriginalIssueDateOriginalSecurityTermPdfFilenameAnnouncementPdfFilenameCompetitiveResultsPdfFilenameNoncompetitiveResultsPdfFilenameSpecialAnnouncementPricePer100PrimaryDealerAcceptedPrimaryDealerTenderedReopeningSecurityTermDayMonthSecurityTermWeekYearSeriesSomaAcceptedSomaHoldingsSomaIncludedSomaTenderedSpreadStandardInterestPaymentPer1000StrippableTermTiinConversionFactorPer1000TipsTotalAcceptedTotalTenderedTreasuryDirectAcceptedTreasuryDirectTendersAcceptedTypeUnadjustedAccruedInterestPer1000UnadjustedPriceXmlFilenameAnnouncementXmlFilenameCompetitiveResultsXmlFilenameSpecialAnnouncement
912810RZ32018-01-16T00:00:00Bond29-Year 10-Month2047-11-15T00:00:002.7500002018-01-04T00:00:002018-01-11T00:00:0020182017-11-15T00:00:004.709940000041.0800002Single-Price2.834000Yes2017-11-15T00:00:002.740000NoNo01:00 PM12:00 PM11997353200332883440000Yes912803FA628823000000.000000873000000142000000040231000000Yes00Normal2018-05-15T00:00:00No97.6604282.8670857679000013260740000Semi-Annual2.2880002018-01-15T00:00:00420000000050000004200000000100100100100100950000000042000000002656200Yes120000000002017-11-15T00:00:002017-11-15T00:00:0030-YearA_20180104_5.pdfR_20180111_1.pdfNCR_20180111_1.pdf97.660428254756320018202700000Yes10-Month29-YearBonds of November 20474063890003098000000No40638900013.7500Yes30-YearNo12406398400332924852001430200YesBondA_20180104_5.xmlR_20180111_1.xml