MARKET

912797PN1

UST 0% 08/14/2025

912797PN1
99.989
-0.022
-0.02%
Closed 16:59 08/13 EDT
YIELD
--
HIGH
100.000
LOW
99.989
OPEN
99.989
COUPON RATE
0.00%
MATURITY
08/14/2025
PREV CLOSE
100.011
COUPON FREQ.
1
NEXT COUPON DATE
--
ACCRUED INTERREST
0.0000
1D
5D
1M
3M
1Y
5Y
1D
Yield
Price
No Data
Description
Name
UST 0% 08/14/2025
Isin
US912797PN17
Issuer
United States Treasury
Bond Type
Treasury
Par Subtype
Bill
Issue Size
53.37B
Par Value
100
Coupon Freq.
Zero
Coupon Rate
0%
Next Coupon Date
Issuing Date
07/03/2025
Maturity
08/14/2025
Accrued Interrest
0.0000
Convertible
No
Currency
USD
region
US