Treasury will borrow 7 3/4 billion in cash to pay off securities maturing May 15, April 27, 1961
United States. Department of the Treasury. "Treasury will borrow 7 3/4 billion in cash to pay off securities maturing May 15, April 27, 1961," in United States. Department of the Treasury. "Volume 124," Press Releases of the United States Department of the Treasury (January 24, 1961 - April 27, 1961) : 533-537. https://fraser.stlouisfed.org/title/6111/item/586967/toc/538454 , accessed on June 23, 2024.