No.BondCodeName#BondsVolumeIssue dateMaturity dateInterestClose priceLast trade date
153193B1216T BILLS 12/201650,00050,000,00028/09/201628/09/20172.4031000
153201B0417T BILLS 4/201725,00025,000,00020/02/201720/08/20172.2691000
153203B0617T BILLS 6/201725,00025,000,00029/03/201729/09/20172.9741000