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912833LQ1
UST 0.0% 02/15/2024
11 months to Maturity
Bid Price (YTW) x Min Qty
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Ask Price (YTW) x Min Qty
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about UST 0.0% 02/15/2024
CUSIP
912833LQ1
issuer
United States Treasury
sub type
bill
coupon rate
0.00%
maturity date
February 15th 2024
ISIN
US912833LQ14
type
treasury
coupon type
zero
coupon date
___
par value
$1,000
issue details
country issue
US
ticker
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issue date
May 11th 1995
previous coupon date
___
issue price
___
TRACE eligible
yes
private placement
no
accrued interest
___
country domicile
US
sector
SOVEREIGN
dated date
___
next coupon date
___
issue size
$1,000
MSRB eligible
___
rule 144a
no
day count convention
A/360
currency
USD
seniority
___
first coupon date
___
last coupon date
___
minimum denomination
1000
DTC eligible
___
regulation s
no
settlement convention
T+1
redemption details
callable
no
next callable date
___
call frequency
___
call minimum notification
___
puttable
no
convertible
no
perpeptual
___
call type
___
next call price
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call notification convention
___
call notification maximum
___
sinking fund
no
convertible
no
insured
no
credit ratings
s&p rating
NR
s&p rating date
May 24th 2011
s&p credit watch
___
s&p credit watch date
___
s&p outlook
___
s&p outlook date
___
pricing & analytics
moderation duration
___
retail aggregate liquidity score
retail buy liquidity score
retail sell liquidity score
inst. aggregate liquidity score
inst. buy liquidity score
inst. sell liquidity score
third party evaluated price
$98.054
third party evaluated YTW
4.811
third party evaluated date
November 19th 2024
other UTS issues
UDR 8.5% 09/15/2024
price
$101.142
ytw
21.416%
tenor
September 15th 2024
s&p rating
NR
CTRUS 9.19% 11/01/2024
price
$100.011
ytw
4.951368%
tenor
November 1st 2024
s&p rating
NR
UST 0.0% 08/15/2024
price
$99.971
ytw
4.396%
tenor
August 15th 2024
s&p rating
NR
UST 0.0% 02/15/2024
price
$98.054
ytw
4.811%
tenor
February 15th 2024
s&p rating
NR
IA 6.15% 06/01/2024
price
$99.999
ytw
4.9385%
tenor
June 1st 2024
s&p rating
___
PA 11/15/2024
price
$99.977
ytw
57.3415%
tenor
November 15th 2024
s&p rating
NR
Securities products, including fixed income securities, and investment advisory services are offered by Company Investment Advisory, LLC, a Member of SIPC and a Registered Investment Adviser. Commodity futures and options on futures products and services are provided by Company Futures LLC, a Member of the NFA. Solutions and services for stock plan administration are provided by Company Financial Corporate Services, Inc., which are part of Citi at Work. Banking products and services are offered through Company Private Bank, National Association, a Member of FDIC. All mentioned entities are separate yet affiliated subsidiaries of Company Inc. Company at Work and the services related to fixed income securities are registered trademarks of Company Inc.
Your access to and use of this service are bound by the terms and conditions outlined in the Company Market Data Agreement (MDA) relevant to fixed income products. Additionally, your access to and use of fixed income market data are subject to the terms stipulated in the OPRA Subscriber Agreement for fixed income securities.
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