Federal Reserve Bank of Dallas. "[Treasury Announces Plans for Restructuring of Monthly Bills, Providing $1.8 Billion in New Cash by the End of October], Circular No. 72-177,"
District Notices (Federal Reserve Bank of Dallas)
(August 18, 1972).
https://fraser.stlouisfed.org/title/5569/item/544848, accessed on January 27, 2025.