TREASURY FLOATING RATE NOTE - 4.43 2027-04-30 Logo
US91282CMX64
A4ECC3

TREASURY FLOATING RATE NOTE - 4.43 2027-04-30

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Security information

Metric Value
Time to maturity 7 months
Duration 2 years
Maturity 04/30/2027
First trading day 04/30/2025
Coupon rate 3.89%
Interest period Quarterly
Currency US Dollar
Issue volume 88.04B
Category Government bond
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