Subscriptions book on July 21 for refunding the certificates of indebtedness maturing August 1 and the 2 issues of Treasury bonds called for redemption on September 15 (exchange offering will consist of a new 1 5/8% certificate of indebtedness), July 17, 1958
United States. Department of the Treasury. "Subscriptions book on July 21 for refunding the certificates of indebtedness maturing August 1 and the 2 issues of Treasury bonds called for redemption on September 15 (exchange offering will consist of a new 1 5/8% certificate of indebtedness), July 17, 1958," in United States. Department of the Treasury. "Volume 114," Press Releases of the United States Department of the Treasury (July 1, 1958 - September 30, 1958) : 57-59. https://fraser.stlouisfed.org/title/6111/item/586957/toc/537713 , accessed on June 25, 2024.