Subscription figures for current cash offering - 3 1/2% Certs. of indebtedness, 3-5/8% notes and 3-7/8% bonds of 1971., May 15, 1962
United States. Department of the Treasury. "Subscription figures for current cash offering - 3 1/2% Certs. of indebtedness, 3-5/8% notes and 3-7/8% bonds of 1971., May 15, 1962," in United States. Department of the Treasury. "Volume 132," Press Releases of the United States Department of the Treasury (April 26, 1962 - June 29, 1962) : 132-162. https://fraser.stlouisfed.org/title/6111/item/586975/toc/538806 , accessed on June 24, 2024.