HomeTreasuriesTable of Treasury Securities
Table of Treasury Securities
Table of Treasury Securities
Security CUSIP Root Auction Frequency Issue/ Settlement Date Net Long Position Reporting Limit Eligible for STRIPS Standard Description Format
Bills 912795     Bill MM/DD/YY
Cash Management Bills (CMBs)  Vary Vary 35% of offering amountNo  
4-Week  Weekly (usually Tuesdays) Thursday 35% of offering amount No  
13-Week  Weekly (usually Mondays) Thursday 35% of offering amount No  
26-Week  Weekly (usually Mondays) Thursday 35% of offering amount No  
Notes 912828     II I/I Note AA YY or
II I/I Note A YY       
2-Year  Every Month End of Month 35% of offering amount Yes  
3- Year  Feb., May, Aug., Nov. 15th of Month 35% of offering amount Yes  
5- Year  Every MonthEnd of Month35% of offering amount Yes  
10- Year (Reopening)  Feb., May, Aug., Nov. (Mar., June, Sep., Dec.)  35% of offering amount Yes  
TIPS      
5-Year (Reopening) 912828 April (October) Last business day of month 35% of offering amount Yes NN N/N TRIN AAYY
NN N/N TRIN AYY       
10- Year (Reopening) 912828 Jan, July 15th of month 35% of offering amount Yes NN N/N TRIN AAYY
(Apr, Oct) NN N/N TRIN AYY      
20- Year (Reopening) 912810 January (July) Last business day of month 35% of offering amount Yes NN TRIB YY
30-Year 912810 Last auctioned 10/10/01 N/A N/A Yes NN TRIB YY
Bonds 912810     II I/I BOND YY/MM or
II I/I BOND CC-YY or       
II I/I BOND YY      
20-Year  Last Auctioned 1/8/86 N/A N/A No*  
30-Year (Reopening)  February (August) 15th of Month 35% of offering amount Yes** 
STRIPS       
Noncallable Corpus (notes & bonds) 912820 N/A N/A N/A N/A II I/I TPRN A YY or
912803 II I/I TPRN YY      
Callable Corpus (bonds) 912800 N/A N/A N/A N/A II I/I TCAL C-YY
Interest Payment (notes & bonds) 912833 N/A N/A N/A N/A TINT MM/DD/YY
Interest Payment (TIPS) 912833 N/A N/A N/A N/A TIIN MM/DD/YY
Bearer Corpora Conversions (BECCS)       
Tradable Callable Corpus 912800 N/A N/A N/A N/A XXX/X BCAL XX-XX
Nontradable Callable Corpus 912803 N/A N/A N/A N/A XX X/X NTCP XX-XX
Nontradable Callable Coupon 912815 N/A N/A N/A N/A NTCC XXX XX/XX/XX
Coupons under Book-Entry (CUBE) 912815 N/A N/A N/A N/A CUBE MM/DD/YY
All securities (Bills, Notes, Bonds, & TIPS) use the Single Price Auction method in determining the price for securities.
All securities (Bills, Notes, Bonds, & TIPS) require minimum bids of $1,000 in increments of $1,000.
All securities (Bills, Notes, Bonds, & TIPS) are auctioned using 3 decimal place bidding for competitive bids.
If the normal issue or maturity day falls on a holiday or weekend, the securities will be issued or settled on the following business day.
* 20-Year bonds issued after 10/30/84 are eligible for the STRIPS program.
** 30-Year bonds issued before 11/15/84 are not eligible for the STRIPS program.