912828UN8-CUSIP, trade date 2/6/2013

Bond Offering DetailBuy OfferWanted Calculator

CUSIP/ ISIN/ SEDOL Mdy/S&P Issue Description Coupon Maturity
912828UN8/ US912828UN88/ B9CDBG2 Aaa/- United States Treas Nts 2%02/15/23 2.0 02/15/2023
Issuer Information
Dated Date 02/15/2013
First Coupon 08/15/2013
Next Coupon 02/15/2023
Last Coupon 08/15/2022
Frequency Semiannually
Original Issuance
Delivery: Interchangeable
Underwriter
 
First Settle Date  
Original Size $24,000,010,900
Outstanding Size $66,000,846,200
Min Denom / Increment 100x1,000
Collateral Note
Blue Sky Restrictions  
Moodys Rating Information
Long Term Rating Aaa effective 06/24/2022
Short Term Rating  
Outlook  
Creditwatch  
S&P Rating Information
Long Term Rating -
Short Term Rating -
Outlook  
Creditwatch  
Security Type Features
Type Treasury
Category Note
New Issue No
Religious Org No
Call/Sink/Put Features
Non-Callable
Best Offering
 
Qty
Minimum
Increment
Price
Settlement
Worst Yld
Yld Worst: 02/15/2023@ 100
Yld Mat: 02/15/2023@ 100
Yld Next Call(c): @ -
Yield Par call(p): @ -
Yld Put(u): @ -
Yld Sink(s): @ -
Current Yield
Annual Percentage Yield
Macaulay Duration
Mod Duration to Earliest Redemption
Mod Duration To Worst
Mod Duration To Maturity
Convexity
Bid
10000
300
1
99.941406
02/08/2023
Maturity
5.035
5.035
-
-
-
-
2.001
-
0.019
0.019
0.019
0.019
0
Offer
35000
200
1
99.971406
02/08/2023
Maturity
3.471
3.471
-
-
-
-
2.001
-
0.019
0.019
0.019
0.019
0
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