Fed says buying Treasuries with maturities ranging from February 2018 to February 2020

Mon Feb 27, 2012 3:15pm GMT
 

Operation Date:  02/27/2012
Operation Type:  Outright Coupon Purchase
Release Time:    10:15 AM
Close Time:      11:00 AM
Settlement Date: 02/28/2012
Maturity Range:  02/28/2018 - 02/15/2020
 
 
Inclusions:
 CUSIP       Security Description
912828PY0    T  2.750  02/28/18
912828QB9    T  2.875  03/31/18
912828QG8    T  2.625  04/30/18
912810EA2    T  9.125  05/15/18
912828HZ6    T  3.875  05/15/18
912828QQ6    T  2.375  05/31/18
912828QT0    T  2.375  06/30/18
912828QY9    T  2.250  07/31/18
912828JH4    T  4.000  08/15/18
912828RE2    T  1.500  08/31/18
912828RH5    T  1.375  09/30/18
912828RP7    T  1.750  10/31/18
912810EB0    T  9.000  11/15/18
912828RT9    T  1.375  11/30/18
912828RY8    T  1.375  12/31/18
912828SD3    T  1.250  01/31/19
912810EC8    T  8.875  02/15/19
912828KD1    T  2.750  02/15/19
912828KQ2    T  3.125  05/15/19
912810ED6    T  8.125  08/15/19
912828LJ7    T  3.625  08/15/19
912828LY4    T  3.375  11/15/19
912828MP2    T  3.625  02/15/20
 
Exclusions:
 CUSIP       Security Description
912828JR2    T  3.750  11/15/18
912828SH4    T  1.375  02/28/19
912810EE4    T  8.500  02/15/20
((New York Treasury Desk +1-646-223-6300)) Keywords: MARKETS FED OPERATIONS
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