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TREASURY OFFERING ANNOUNCEMENT

TREASURY OFFERING ANNOUNCEMENT

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Jan 06, 2022 · Auction Date January 12, 2022 Original Issue Date November 15, 2021 Issue Date January 18, 2022 Maturity Date November 15, 2031 Dated Date November 15, 2021 Series F-2031 Yield Determined at Auction Interest Rate 1-3/8% Interest Payment Dates May 15 and November 15 Accrued Interest from 11/15/2021 to 01/18/2022 $ 2.43094 Per $1,000

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