Cash Offering 219 Day Treasury Bills Offered at a Fixed Price of 98.023 (Equivalent Rate of Discount Approximately 3.25 Percent Per Annum) 3 1/2 Percent Treasury Notes of Series B-1959
Federal Reserve Bank of Dallas. "Cash Offering 219 Day Treasury Bills Offered at a Fixed Price of 98.023 (Equivalent Rate of Discount Approximately 3.25 Percent Per Annum) 3 1/2 Percent Treasury Notes of Series B-1959," District Notices (Federal Reserve Bank of Dallas) (September 26, 1958). https://fraser.stlouisfed.org/title/5569/item/551429, accessed on April 19, 2024.