Treasury to refund $12.5 billion of securities maturing August 1 to October 1 and to raise $3.5 billion in cash, July 13, 1961
United States. Department of the Treasury. "Treasury to refund $12.5 billion of securities maturing August 1 to October 1 and to raise $3.5 billion in cash, July 13, 1961," in United States. Department of the Treasury. "Volume 126," Press Releases of the United States Department of the Treasury (June 2, 1961 - July 31, 1961) : 443-449. https://fraser.stlouisfed.org/title/6111/item/586969/toc/538520 , accessed on June 24, 2024.