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2830. Exchange Offerings: Offering of 7/8 Percent Treasury Certificates of Indebtedness of Series F-1945 in Exchange for Certificates of Indebtedness of Series E-1944, Maturing September 1, 1944, and 1 Percent Notes of Series A-1946, Dated November 1, 1941, Due March 15, 1946, Additional Issue, in Exchange for Notes of Series D-1944, or Notes of Series D-1944, Both Maturing September 15, 1944

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Federal Reserve Bank of New York. "2830. Exchange Offerings: Offering of 7/8 Percent Treasury Certificates of Indebtedness of Series F-1945 in Exchange for Certificates of Indebtedness of Series E-1944, Maturing September 1, 1944, and 1 Percent Notes of Series A-1946, Dated November 1, 1941, Due March 15, 1946, Additional Issue, in Exchange for Notes of Series D-1944, or Notes of Series D-1944, Both Maturing September 15, 1944," Federal Reserve Bank of New York Circulars (August 24, 1944). https://fraser.stlouisfed.org/scribd/?item_id=17615&filepath=/files/docs/historical/ny circulars/1944_02830.pdf, accessed on December 17, 2017.

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Federal Reserve Bank of St. Louis, One Federal Reserve Bank Plaza, St. Louis, MO 63102