Offering of an optional exchange on November 22 of 2 1/2% and 1-1/4% and 1-1/8% certs. of indebtedness maturing August 15, 1955, November 18, 1954, Release Number h-638
United States. Department of the Treasury. "Offering of an optional exchange on November 22 of 2 1/2% and 1-1/4% and 1-1/8% certs. of indebtedness maturing August 15, 1955, November 18, 1954, Release Number h-638," in United States. Department of the Treasury. "Volume 101," Press Releases of the United States Department of the Treasury (September 2, 1954 - December 30, 1954) : 147-150. https://fraser.stlouisfed.org/title/6111/item/586944/toc/540159 , accessed on April 25, 2024.