2868. Exchange Offerings: Offering of 0.90 Percent Notes of Series C-1946 in exchange for 7/8 Percent Certificates of Indebtedness of Series G-1944, Maturing December 1, 1944, 2 1/2 Percent Treasury Bonds of 1966-71, Additional Issue, 2 Percent Bonds of 1952-54, Additional Issue, and 1 1/4 Percent Notes of Series C-1947, Additional Issue, in Exchange for 4 Percent Treasury Bonds of 1944-54, Called for Redemption on December 15, 1944

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