MONTHLY STATEMENT OF THE PUBLIC DEBT OF THE UNITED STATES MARCH 31, 2005 (Details may not add to totals) TABLE I -- SUMMARY OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 (Millions of dollars) Amount Outstanding Title Debt Held Intragovernmental Totals By the Public Holdings Marketable: Bills....................................... 1,055,765 3,336 1,059,101 Notes....................................... 2,226,180 491 2,226,671 Bonds....................................... 537,058 171 537,229 Treasury Inflation-Protected Securities..... 266,821 16 266,837 Federal Financing Bank 1 ................. 0 14,000 14,000 Total Marketable a........................... 4,085,824 2 18,013 4,103,837 Nonmarketable: Domestic Series............................. 29,995 0 29,995 Foreign Series.............................. 6,081 0 6,081 R.E.A. Series............................... 1 0 1 State and Local Government Series........... 179,005 0 179,005 United States Savings Securities............ 204,248 0 204,248 Government Account Series................... 62,683 3,186,210 3,248,893 Other....................................... 4,879 0 4,879 Total Nonmarketable b........................ 486,892 3,186,210 3,673,102 Total Public Debt Outstanding................. 4,572,716 3,204,223 7,776,939 TABLE II -- STATUTORY DEBT LIMIT, MARCH 31, 2005 Amount Outstanding Debt Held Intragovernmental Totals By the Public Holdings Debt Subject to Limit: Public Debt Outstanding..................... 4,572,716 3,204,223 7,776,939 Less Amounts Not Subject to Limit: Other Debt Not Subject to Limit........... 511 0 511 Unamortized Discount 3................... 32,285 14,763 47,048 Federal Financing Bank 1 ............ 0 14,000 14,000 Total Public Debt Subject to Limit.......... 4,539,920 3,175,460 7,715,380 Other Debt Subject to Limit: Guaranteed Debt of Government Agencies 4 123 0 123 Total Public Debt Subject to Limit.......... 4,540,042 3,175,460 7,715,503 Statutory Debt Limit 5..................................................................... 8,184,000 Balance of Statutory Debt Limit............................................................. 468,497 This statement is available at 3 p.m. Eastern time on the 4th workday of each month, at www.publicdebt.treas.gov COMPILED AND PUBLISHED BY THE BUREAU OF THE PUBLIC DEBT 2TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 Issue Payable Callable Interest Amount in Millions of Dollars Loan Description Date Payable Issued (Retired) / InflatioOutstanding Marketable: Treasury Bills (Maturity Valu6 d CUSIP: Yield: 912795 SH5 1.990 10/07/04 04/07/05 04/07/05 23,226 0 75,247 2.275 01/06/05 25,189 2.565 03/10/05 26,831 912795 SJ1 1.955 10/14/04 04/14/05 04/14/05 23,132 0 74,695 2.330 01/13/05 25,079 2.645 03/17/05 26,484 912795 SK8 1.990 10/21/04 04/21/05 04/21/05 24,356 0 76,875 2.360 01/20/05 26,523 2.700 03/24/05 25,997 912795 SL6 2.040 10/28/04 04/28/05 04/28/05 25,759 0 71,641 2.320 01/27/05 26,013 2.650 03/31/05 19,869 912795 SM4 2.140 11/04/04 05/05/05 05/05/05 25,671 0 53,237 2.475 02/03/05 27,567 912795 SN2 2.260 11/12/04 05/12/05 05/12/05 25,792 0 53,204 2.480 02/10/05 27,412 912795 SP7 2.280 11/18/04 05/19/05 05/19/05 24,059 0 50,499 2.540 02/17/05 26,440 912795 SQ5 2.365 11/26/04 05/26/05 05/26/05 23,080 0 51,153 2.615 02/24/05 28,073 912795 SR3 2.395 12/02/04 06/02/05 06/02/05 23,169 0 51,193 2.715 03/03/05 28,024 912795 SS1 2.380 12/09/04 06/09/05 06/09/05 23,192 0 50,103 2.710 03/10/05 26,911 912795 ST9 2.425 12/16/04 06/16/05 06/16/05 22,689 0 49,768 2.735 03/17/05 27,079 912795 SU6 2.465 12/23/04 06/23/05 06/23/05 22,940 0 49,898 2.800 03/24/05 26,957 912795 SV4 2.560 12/30/04 06/30/05 06/30/05 23,016 0 48,755 2.780 03/31/05 25,739 912795 VF5 2.560 01/06/05 07/07/05 07/07/05 23,182 0 23,182 912795 VG3 2.600 01/13/05 07/14/05 07/14/05 21,806 0 21,806 912795 VH1 2.635 01/20/05 07/21/05 07/21/05 22,078 0 22,078 912795 VJ7 2.610 01/27/05 07/28/05 07/28/05 21,800 0 21,800 912795 VK4 2.710 02/03/05 08/04/05 08/04/05 23,204 0 23,204 912795 VL2 2.710 02/10/05 08/11/05 08/11/05 23,193 0 23,193 912795 VM0 2.760 02/17/05 08/18/05 08/15/05 23,209 0 23,209 912795 VN8 2.850 02/24/05 08/25/05 08/25/05 24,230 0 24,230 912757 VP3 2.925 03/03/05 09/01/05 09/01/05 24,254 0 24,254 912795 VQ1 2.935 03/10/05 09/08/05 09/08/05 24,368 0 24,368 912795 VR9 3.000 03/17/05 09/15/05 09/15/05 24,209 0 24,209 912795 VS7 3.035 03/24/05 09/22/05 09/22/05 24,278 0 24,278 912795 VT5 3.090 03/31/05 09/29/05 09/29/05 23,021 0 23,021 Total Unmatured Treasury Bills............................................. 1,059,101 0 1,059,101 Total Matured Treasury Bills............................................... * 0 * Total Treasury Bills....................................................... 1,059,101 0 1,059,101 Treasury Notes 7 e CUSIP: Series:Interest Rate: 912828 AX8 K 1.625 04/30/03 04/30/05 10/31-04/30 34,295 0 34,295 912827 T85 B 6.500 05/15/95 05/15/05 11/15-05/15 14,740 0 14,740 912827 6D9 E 6.750 05/15/00 05/15/05 11/15-05/15 28,562 0 28,562 912828 BB5 L 1.250 06/02/03 05/31/05 11/30-05/31 31,021 0 31,021 912828 BC3 M 1.125 06/30/03 06/30/05 12/31-06/30 31,701 0 31,701 912828 BE9 N 1.500 07/31/03 07/31/05 01/31-07/31 29,997 0 29,997 912827 U83 C 6.500 08/15/95 08/15/05 02/15-08/15 15,003 0 15,003 912828 BJ8 P 2.000 09/02/03 08/31/05 02/29-08/31 30,592 0 30,592 912828 BL3 Q 1.625 09/30/03 09/30/05 03/31-09/30 31,539 0 31,539 912828 BN9 R 1.625 10/31/03 10/31/05 04/30-10/31 32,368 0 32,368 912827 V82 D 5.875 11/24/95 11/15/05 05/15-11/15 15,210 0 15,210 912827 6N7 F 5.750 11/15/00 11/15/05 05/15-11/15 28,063 0 28,063 912828 BS8 S 1.875 12/01/03 11/30/05 05/31-11/30 32,204 0 32,204 912828 BU3 T 1.875 12/31/03 12/31/05 06/30-12/31 33,996 0 33,996 912828 BX7 K 1.875 02/02/04 01/31/06 07/31-01/31 32,533 0 32,533 912827 W81 A 5.625 02/15/96 02/15/06 02/15-08/15 15,514 0 15,514 912828 CB4 L 1.625 03/01/04 02/28/06 08/31-02/28 34,002 0 34,002 912828 CD0 M 1.500 03/31/04 03/31/06 09/30-03/31 34,339 0 34,339 912828 CF5 N 2.250 04/30/04 04/30/06 10/31-04/30 34,335 0 34,335 912827 X80 B 6.875 05/15/96 05/15/06 11/15-05/15 16,015 0 16,015 912827 6X5 E 4.625 05/15/01 05/15/06 11/15-05/15 27,798 0 27,798 912828 AY6 G 2.000 05/15/03 05/15/06 11/15-05/15 22,392 0 22,392 912828 CK4 P 2.500 06/01/04 05/31/06 11/30-05/31 31,308 0 31,308 912828 CM0 Q 2.750 06/30/04 06/30/06 12/31-06/30 32,588 0 32,588 912827 Y55 C 7.000 07/15/96 07/15/06 01/15-07/15 22,740 0 22,740 TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued 3 Issue Payable Callable Interest Amount in Millions of Dollars Loan Description Date Payable Issued (Retired) / InflatioOutstanding Marketable, Treasury Notes--Continued: CUSIP: Series:Interest Rate: 912828 CQ1 R 2.750 08/02/04 07/31/06 01/31-07/31 31,011 0 31,011 912828 BF6 H 2.375 08/15/03 08/15/06 02/15-08/15 27,909 0 27,909 912828 CU2 S 2.375 08/31/04 08/31/06 02/28-08/31 31,814 0 31,814 912828 CW8 T 2.500 09/30/04 09/30/06 03/31-09/30 31,656 0 31,656 912827 Z62 D 6.500 10/15/96 10/15/06 04/15-10/15 22,460 0 22,460 912828 CY4 U 2.500 11/01/04 10/31/06 04/30-10/31 29,569 0 29,569 912827 7F3 F 3.500 11/15/01 11/15/06 05/15-11/15 35,380 0 35,380 912828 BP4 J 2.625 11/17/03 11/15/06 05/15-11/15 26,536 0 26,536 912828 DD9 V 2.875 11/30/04 11/30/06 05/31-11/30 30,049 0 30,049 912828 DF4 W 3.000 12/31/04 12/31/06 06/30-12/31 31,952 0 31,952 912828 DJ6 M 3.125 01/31/05 01/31/07 07/31-01/31 29,027 0 29,027 912827 2J0 B 6.250 02/18/97 02/15/07 08/15-02/15 13,104 0 13,104 912828 BY5 H 2.250 02/17/04 02/15/07 08/15-02/15 25,469 0 25,469 912828 DN7 N 3.375 02/28/05 02/28/07 08/31-02/28 32,007 0 32,007 912828 DQ0 P 3.750 03/31/05 03/31/07 09/30-03/31 32,003 0 32,003 912827 2U5 C 6.625 05/15/97 05/15/07 11/15-05/15 13,958 0 13,958 912828 AC4 E 4.375 05/15/02 05/15/07 11/15-05/15 24,351 0 24,351 912828 CG3 J 3.125 05/17/04 05/15/07 11/15-05/15 27,564 0 27,564 912827 3E0 D 6.125 08/15/97 08/15/07 02/15-08/15 25,637 0 25,637 912828 AH3 F 3.250 08/15/02 08/15/07 02/15-08/15 25,411 0 25,411 912828 CR9 K 2.750 08/16/04 08/15/07 02/15-08/15 24,674 0 24,674 912828 AN0 G 3.000 11/15/02 11/15/07 05/15-11/15 50,620 0 50,620 912827 3X8 B 5.500 02/17/98 02/15/08 08/15-02/15 13,583 0 13,583 912828 AT7 E 3.000 02/18/03 02/15/08 08/15-02/15 27,489 0 27,489 912828 DK3 M 3.375 02/15/05 02/15/08 08/15-02/15 23,885 0 23,885 912827 4F6 C 5.625 05/15/98 05/15/08 11/15-05/15 27,191 0 27,191 912828 AZ3 F 2.625 05/15/03 05/15/08 11/15-05/15 33,338 0 33,338 912828 BG4 G 3.250 08/15/03 08/15/08 02/15-08/15 21,357 0 21,357 912828 BK5 H 3.125 09/15/03 09/15/08 03/15-09/15 16,002 0 16,002 912828 BM1 J 3.125 10/15/03 10/15/08 04/15-10/15 15,996 0 15,996 912827 4V1 D 4.750 11/16/98 11/15/08 05/15-11/15 25,083 0 25,083 912828 BQ2 K 3.375 11/17/03 11/15/08 05/15-11/15 18,181 0 18,181 912828 BT6 L 3.375 12/15/03 12/15/08 06/15-12/15 16,000 0 16,000 912828 BV1 D 3.250 01/15/04 01/15/09 07/15-01/15 16,003 0 16,003 912828 BZ2 E 3.000 02/17/04 02/15/09 08/15-02/15 17,434 0 17,434 912828 CC2 F 2.625 03/15/04 03/15/09 09/15-03/15 16,001 0 16,001 912828 CE8 G 3.125 04/15/04 04/15/09 10/15-04/15 16,003 0 16,003 912827 5G3 B 5.500 05/17/99 05/15/09 11/15-05/15 14,795 0 14,795 912828 CH1 H 3.875 05/17/04 05/15/09 11/15-05/15 18,060 0 18,060 912828 CL2 J 4.000 06/15/04 06/15/09 12/15-06/15 15,005 0 15,005 912828 CN8 K 3.625 07/15/04 07/15/09 01/15-07/15 15,005 0 15,005 912827 5N8 C 6.000 08/16/99 08/15/09 02/15-08/15 27,400 0 27,400 912828 CS7 L 3.500 08/16/04 08/15/09 02/15-08/15 17,295 0 17,295 912828 CV0 M 3.375 09/15/04 09/15/09 03/15-09/15 15,005 0 15,005 912828 CX6 N 3.375 10/15/04 10/15/09 04/15-10/15 15,005 0 15,005 912828 DB3 P 3.500 11/15/04 11/15/09 05/15-11/15 18,752 0 18,752 912828 DE7 Q 3.500 12/15/04 12/15/09 06/15-12/15 15,002 0 15,002 912828 DG2 E 3.625 01/18/05 01/15/10 07/15-01/15 15,005 0 15,005 912827 5Z1 B 6.500 02/15/00 02/15/10 08/15-02/15 23,356 0 23,356 912828 DL1 F 3.500 02/15/05 02/15/10 08/15-02/15 16,617 0 16,617 912828 DP2 G 4.000 03/15/05 03/15/10 09/15-03/15 15,005 0 15,005 912827 6J6 C 5.750 08/15/00 08/15/10 02/15-08/15 22,438 0 22,438 912827 6T4 B 5.000 02/15/01 02/15/11 08/15-02/15 23,436 0 23,436 912827 7B2 C 5.000 08/15/01 08/15/11 02/15-08/15 26,635 0 26,635 912827 7L0 B 4.875 02/15/02 02/15/12 08/15-02/15 24,780 0 24,780 912828 AJ9 D 4.375 08/15/02 08/15/12 02/15-08/15 19,648 0 19,648 912828 AP5 E 4.000 11/15/02 11/15/12 05/15-11/15 18,113 0 18,113 912828 AU4 A 3.875 02/18/03 02/15/13 08/15-02/15 19,498 0 19,498 912828 BA7 B 3.625 05/15/03 05/15/13 11/15-05/15 18,254 0 18,254 912828 BH2 D 4.250 08/15/03 08/15/13 02/15-08/15 33,521 0 33,521 912828 BR0 E 4.250 11/17/03 11/15/13 05/15-11/15 30,637 0 30,637 912828 CA6 B 4.000 02/17/04 02/15/14 08/15-02/15 28,081 0 28,081 912828 CJ7 C 4.750 05/17/04 05/15/14 11/15-05/15 27,303 0 27,303 912828 CT5 E 4.250 08/16/04 08/15/14 02/15-08/15 24,722 0 24,722 912828 DC1 F 4.250 11/15/04 11/15/14 05/15-11/15 25,473 0 25,473 912828 DM9 B 4.000 02/15/05 02/15/15 08/15-02/15 24,215 0 24,215 Total Unmatured Treasury Notes............................................. 2,226,622 0 2,226,622 Total Matured Treasury Notes .............................................. 49 0 49 Total Treasury Notes....................................................... 2,226,671 0 2,226,671 4TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued Issue Payable Callable Interest Amount in Millions of Dollars Loan Description Date Payable Issued (Retired) / InflatioOutstanding Marketable, Treasury Bonds: Treasury Bonds 7 e CUSIP: Interest Rate: 912810 CP1 10.000 8 05/15/80 05/15/10 05/15/05 9 11/15-05/15 2,987 0 2,987 912810 DQ8 12.000 04/02/85 05/15/05 11/15-05/15 4,261 0 4,261 912810 DR6 10.750 07/02/85 08/15/05 02/15-08/15 9,270 0 9,270 912810 CS5 12.750 8 11/17/80 11/15/10 11/15/05 9 05/15-11/15 4,736 (655) 4,081 912810 DU9 9.375 01/15/86 02/15/06 08/15-02/15 4,756 0 4,756 912810 CV8 13.875 8 05/15/81 05/15/11 05/15/06 9 11/15-05/15 4,609 (1,064) 3,545 912810 CY2 14.000 8 11/16/81 11/15/11 11/15/06 9 05/15-11/15 4,901 (852) 4,048 912810 DB1 10.375 8 11/15/82 11/15/12 11/15/07 9 05/15-11/15 11,032 (906) 10,126 912810 DF2 12.000 8 08/15/83 08/15/13 08/15/08 9 02/15-08/15 14,755 (2,838) 11,917 912810 DJ4 13.250 8 05/15/84 05/15/14 05/15/09 9 11/15-05/15 5,007 (527) 4,481 912810 DL9 12.500 8 08/15/84 08/15/14 08/15/09 9 02/15-08/15 5,128 (740) 4,388 912810 DN5 11.750 11/15/84 11/15/14 11/15/09 9 05/15-11/15 6,006 (990) 5,015 912810 DP0 11.250 02/15/85 02/15/15 08/15-02/15 12,668 (2,148) 10,520 912810 DS4 10.625 08/15/85 08/15/15 02/15-08/15 7,150 (3,126) 4,024 912810 DT2 9.875 11/29/85 11/15/15 05/15-11/15 6,900 (1,315) 5,585 912810 DV7 9.250 02/18/86 02/15/16 08/15-02/15 7,267 (1,835) 5,432 912810 DW5 7.250 05/15/86 05/15/16 11/15-05/15 18,824 0 18,824 912810 DX3 7.500 11/17/86 11/15/16 05/15-11/15 18,864 (77) 18,787 912810 DY1 8.750 05/15/87 05/15/17 11/15-05/15 18,194 (2,635) 15,559 912810 DZ8 8.875 08/17/87 08/15/17 02/15-08/15 14,017 (3,049) 10,968 912810 EA2 9.125 05/16/88 05/15/18 11/15-05/15 8,709 (1,991) 6,717 912810 EB0 9.000 11/22/88 11/15/18 05/15-11/15 9,033 (1,858) 7,174 912810 EC8 8.875 02/15/89 02/15/19 08/15-02/15 19,251 (6,160) 13,090 912810 ED6 8.125 08/15/89 08/15/19 02/15-08/15 20,214 (1,273) 18,941 912810 EE4 8.500 02/15/90 02/15/20 08/15-02/15 10,229 (753) 9,476 912810 EF1 8.750 05/15/90 05/15/20 11/15-05/15 10,159 (2,577) 7,582 912810 EG9 8.750 08/15/90 08/15/20 02/15-08/15 21,419 (4,359) 17,059 912810 EH7 7.875 02/15/91 02/15/21 08/15-02/15 11,113 (1,038) 10,076 912810 EJ3 8.125 05/15/91 05/15/21 11/15-05/15 11,959 (1,892) 10,067 912810 EK0 8.125 08/15/91 08/15/21 02/15-08/15 12,163 (2,657) 9,506 912810 EL8 8.000 11/15/91 11/15/21 05/15-11/15 32,798 (2,166) 30,632 912810 EM6 7.250 08/17/92 08/15/22 02/15-08/15 10,353 (225) 10,128 912810 EN4 7.625 11/16/92 11/15/22 05/15-11/15 10,700 (3,276) 7,424 912810 EP9 7.125 02/16/93 02/15/23 08/15-02/15 18,374 (2,592) 15,782 912810 EQ7 6.250 08/16/93 08/15/23 02/15-08/15 22,909 (250) 22,659 912810 ES3 7.500 08/15/94 11/15/24 11/15-05/15 11,470 (1,866) 9,604 912810 ET1 7.625 02/15/95 02/15/25 08/15-02/15 11,725 (2,216) 9,509 912810 EV6 6.875 08/15/95 08/15/25 02/15-08/15 12,602 (1,415) 11,187 912810 EW4 6.000 02/15/96 02/15/26 08/15-02/15 12,905 (67) 12,838 912810 EX2 6.750 08/15/96 08/15/26 02/15-08/15 10,894 (2,083) 8,810 912810 EY0 6.500 11/15/96 11/15/26 05/15-11/15 11,493 (633) 10,860 912810 EZ7 6.625 02/18/97 02/15/27 08/15-02/15 10,456 (934) 9,522 912810 FA1 6.375 08/15/97 08/15/27 02/15-08/15 10,736 (1,539) 9,197 912810 FB9 6.125 11/17/97 11/15/27 05/15-11/15 22,519 (497) 22,021 912810 FE3 5.500 08/17/98 08/15/28 02/15-08/15 11,776 0 11,776 912810 FF0 5.250 11/16/98 11/15/28 05/15-11/15 10,947 0 10,947 912810 FG8 5.250 02/16/99 02/15/29 08/15-02/15 11,350 0 11,350 912810 FJ2 6.125 08/16/99 08/15/29 02/15-08/15 11,179 0 11,179 912810 FM5 6.250 02/15/00 05/15/30 05/15-11/15 17,043 0 17,043 912810 FP8 5.375 02/15/01 02/15/31 08/15-02/15 16,428 0 16,428 Total Unmatured Treasury Bonds............................................. 604,235 (67,074) 537,161 Total Matured Treasury Bonds............................................... 67 0 67 Total Treasury Bonds....................................................... 604,303 (67,074) 537,229 TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued 5 Issue Payable Callable Interest Amount in Millions of Dollars Loan Description Date Payable Issued (Retired) / InflatioOutstanding Marketable, Continued: Treasury Inflation-Protected 7 e CUSIP: Series:Interest Rate: 912827 2M3 A 3.375 02/06/97 01/15/07 07/15-01/15 15,758 3,208 18,966 912827 3T7 A 3.625 01/15/98 01/15/08 07/15-01/15 16,812 3,031 19,843 912827 4Y5 A 3.875 01/15/99 01/15/09 07/15-01/15 15,902 2,588 18,490 912827 5W8 A 4.250 01/18/00 01/15/10 07/15-01/15 11,321 1,510 12,831 912828 CZ1 D 0.875 10/29/04 04/15/10 04/15-10/15 12,001 79 12,080 912827 6R8 A 3.500 01/16/01 01/15/11 07/15-01/15 11,001 1,052 12,053 912827 7J5 A 3.375 01/15/02 01/15/12 07/15-01/15 6,004 444 6,448 912828 AF7 C 3.000 07/15/02 07/15/12 01/15-07/15 23,018 1,394 24,411 912828 BD1 C 1.875 07/15/03 07/15/13 01/15-07/15 20,008 765 20,773 912828 BW9 A 2.000 01/15/04 01/15/14 07/15-01/15 21,002 672 21,674 912828 CP3 D 2.000 07/15/04 07/15/14 01/15-07/15 19,002 221 19,223 912828 DH0 A 1.625 01/18/05 01/15/15 07/15-01/15 10,001 0 10,001 912810 FR4 2.375 07/30/04 01/15/25 01/15-07/15 22,000 256 22,256 912810 FD5 3.625 04/15/98 04/15/28 10/15-04/15 16,808 2,979 19,787 912810 FH6 3.875 04/15/99 04/15/29 10/15-04/15 19,722 2,893 22,615 912810 FQ6 3.375 10/15/01 04/15/32 04/15-10/15 5,012 372 5,385 Total Treasury Inflation-Protected Securiti................................ 245,374 21,463 266,837 Federal Financing Bank....................... Various Various Various 14,000 0 14,000 Total Marketable............................................................. 4,149,448 (45,611) 4,103,837 6TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued Issue Payable Interest Amount in Millions of Dollars Loan Description Date Payable Issued (Retired) / Inflatio Outstanding Nonmarketable: Domestic Series: Zero-coupon Treasury Bond .. 10/27/89 10/15/19 10/15/19 4,522 0 4,522 Zero-coupon Treasury Bond .. 07/16/90 07/15/20 07/15/20 5,026 0 5,026 Zero-coupon Treasury Bond (A 10/05/90 10/15/20 10/15/20 3 0 3 Zero-coupon Treasury Bond (B 10/05/90 10/15/20 10/15/20 5,000 0 5,000 Zero-coupon Treasury Bond .. 01/14/91 01/15/21 01/15/21 4,941 0 4,941 Zero-coupon Treasury Bond .. 01/29/90 01/15/30 01/15/30 5,002 0 5,002 Zero-coupon Treasury Bond .. 04/16/90 04/15/30 04/15/30 3,501 0 3,501 Zero-coupon Treasury Bond .. 01/14/91 04/15/30 04/15/30 2,000 0 2,000 Total Domestic Series............................................ 29,995 0 29,995 Foreign Series: Bills 01/07/05.............. 01/07/05 04/01/05 04/01/05 100 0 100 Bills 01/07/05.............. 01/07/05 05/02/05 05/02/05 100 0 100 Bills 01/07/05.............. 01/07/05 06/01/05 06/01/05 100 0 100 Zero-coupon Treasury Bond10 12/18/90 03/31/20 03/31/20 7,258 (4,537) 2,721 Zero-coupon Treasury Bond10 04/07/93 03/31/23 03/31/23 6,685 (3,625) 3,060 Total Foreign Series............................................. 14,243 (8,162) 6,081 R.E.A. Series: 5% Treasury Certificates of Indebtedness.............. Various ............Semiannually 54 (53) 1 Total R.E.A. Series.............................................. 54 (53) 1 State and Local Government Series: Treasury Time Deposit - Certificates of Indebtedness (Various r Various ............ At maturity 255,677 (244,312) 11,365 Treasury Time Deposit - Notes (Various rates)........... Various ............ Various 467,639 (319,995) 147,644 Treasury Time Deposit - Bonds (Various rates)........... Various ............ Various 53,367 (33,471) 19,896 Treasury Demand Deposit..10 Various ............ Daily 4,927 (4,828) 99 Treasury Special Zero's - No Various ........................ 300 (300) * Total State and Local Government Series......................................................... 781,911 (602,906) 179,005 United States Savings Securities: United States Savings Bon11 e Series E................. Various On demand At redemptio 79,630 (59,195) 20,435 Series EE.............12 Various On demand At redemptio 255,383 (125,462) 129,921 Series E, EE, and I Unclassified............ Various On demand At redemptio 118 (393) (276) Series H................. Various On demand Semiannually 3,032 (2,699) 333 Series HH................ Various On demand Semiannually 21,304 (6,784) 14,520 Series I..............12 Various On demand At redemptio 29,614 (2,394) 27,220 Total United States Savings ................................... 389,080 (196,927) 192,153 United States Individual Retirement Bonds..................13 Various On demand At redemptio 83 (71) 12 United States Retirement Plan Bonds..................14 Various On demand At redemptio 383 (335) 47 Total Unmatured United States Savings Sec........................ 389,546 (197,333) 192,213 Total Matured United States Savings Secur........................ 12,035 0 12,035 Total United States Savings Securities........................... 401,582 (197,333) 204,248 TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued 7 Amount in Millions of Dollars Loan Description Issued (Retired) / Inflation Outstanding Nonmarketable--Continued: Government Account Series - Held By the Public: Custodial Tribal Fund, Office of the Special Trustee for America 361 (1) 360 14X6803 Deposits of Proceeds of Lands Withdrawn for Native Selection, Bureau of Indian Affairs..................................... 2 0 2 14X6140 Deposits, Outer Continental Shelf Lands Act, Bonus Bids, Minerals Management Service.................................. 64 0 64 14X6705 Disgorgement Penalty Amounts Held for Investment................ 1,513 0 1,513 50X65630017 Escrow Account, National Labor Relations Board.................. 2 * 2 63X6154 Federal Ship Financing Escrow Fund, Maritime Administration..... 7 (1) 6 69X6012 Gifts, Central Intelligence Agency.............................. * 0 * 56X6146 Individual Indian Money, Bureau of Indian Affairs............... 48 0 48 14X6039 Kuukpik Alaska Escrow Fund...................................... 36 0 36 14X6029 Maritime Guaranteed Loan Escrow Fund............................ 32 (5) 27 69X6040 Payments of Alleged Violators of Department of Energy Regulations, Department of Energy......................................... 254 0 254 89X6425 Seized Assets Fund, Justice..................................... 628 0 628 15X6874 Smithsonian Endowment Fund, Smithsonian Institution............. 1 0 1 33X62201 Special Investment Account...................................... 822 0 822 95X6167 Thrift Savings Fund, Federal Retirement Thrift Investment Board… 58,891 0 58,891 26X6153 Treasury Deposit Funds.......................................... 23 0 23 20X6420 Unearned Copyright Fees, Library Of Congress.................... 4 0 4 03X6206 Wage and Hour and Public Contracts Restitution Fund, Labor...... 2 0 2 16X6507 Government Account Series - Held By the Public.................... 62,690 (8) 62,683 Government Account Series - Intragovernmental Holdings: Abandoned Mines Reclamation Fund, Office of Surface Mining Reclamation and Enforcement............................................. 2,055 0 2,055 14X5015 Airport and Airway Trust Fund................................... 19,863 (6,943) 12,919 20X8103 Albanian Claims Fund, Treasury Department....................... 1 0 1 20X6104 Aquatic Resources Trust Fund.................................... 1,460 0 1,460 20X81472 Armed Forces Retirement Home Trust Fund......................... 115 0 115 84X8522 Assessment Funds, Office of the Comptroller of the Currency..... 539 0 539 20X8413 Assets Forfeiture Fund, Justice................................. 478 0 478 15X5042 Aviation Insurance Revolving Fund............................... 405 0 405 69X41201 Bank Insurance Fund, The........................................ 33,350 (1,480) 31,870 51X4064 Belize Escrow, Debt Reduction, Treasury......................... 1 0 1 20X6317 Bequests and Gifts, Disaster Relief, Funds Appropriated to the P 2 0 2 70X8244 Bequests of Major General Fred C. Ainsworth, Library, Walter Reed General Hospital............................................ * 0 * 21X8063 Botanic Gardens, Gifts and Donations............................ 8 0 8 09X8292 Capitol Preservation Fund, U.S. Capitol Preservation Commission. 74 * 74 09X8300 Cheyenne River Sioux Tribe Terrestrial Wildlife Habitat Restoration Trust Fund.................................................. 28 0 28 20X8209 Christopher Columbus Scholarship Fund, Christopher Columbus Fellowship Foundation....................................... 2 0 2 76X8187 Civil Service Retirement and Disability Fund, Office of Personne 763,853 (144,219) 619,635 24X8135 Claims Court Judges Retirement Fund............................. 14 0 14 10X8124 Coast Guard General Gift Fund................................... 1 0 1 70X8533 Community Development Credit Union Revolving Fund National Credit Union Administration........................ 9 0 9 25X4472 Conditional Gift Fund, General, Department of State............. 4 0 4 19X8822 Contributions, American Battle Monuments Commission............. * 0 * 74X85691 Court of Veterans Appeals Retirement Fund....................... 10 0 10 95X8290 Defense Cooperation Account..................................... 6 0 6 97X5187 Department of Defense, Education Benefits Fund.................. 989 0 989 97X8098 Department of Defense, Medicare Eligible Retiree Fund........... 54,286 0 54,286 97X5472 Department of Defense Military Retirement Fund.................. 199,850 (4,823) 195,027 97X8097 Department of the Air Force General Gift Fund................... 1 0 1 57X8928 Department of the Army General Gift Fund........................ 3 0 3 21X8927 Department of the Navy General Gift Fund........................ 2 0 2 17X8716 District of Columbia Judges Retirement Fund..................... 99 0 99 20X8212 District of Columbia Federal Pension Trust Fund................. 3,522 0 3,522 20X5511 Eisenhower Exchange Fellowship Program Trust Fund............... 7 0 7 95X8276 Employees' Health Benefits Fund, Office of Personnel Management. 13,642 (1,832) 11,810 24X8440 Employees' Life Insurance Fund, Office of Personnel Management.. 28,817 0 28,817 24X8424 Endeavor Teacher Fellowship Trust Fund.......................... 1 0 1 80X8550 Energy Employees Occupational Illness Compensation Fund......... 187 0 187 16X1523 Environmental Improvement and Restoration Fund.................. 994 0 994 14X5425 Esther Cattell Schmitt Gift Fund, Treasury...................... * 0 * 20X8902 Exchange Stabilization Fund, Office of the Secretary, Treasury.. 12,086 0 12,086 20X44441 Expenses, Presidio Trust........................................ 137 (13) 125 95X4331 8 TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued Amount in Millions of Dollars Loan Description Issued (Retired) / Inflation Outstanding Nonmarketable--Continued: Government Account Series - Intragovernmental Holdings--Continued: Farm Credit Insurance Fund, Capital Corporation Investment Fund, Farm Credit Administration ....................................... 2,117 0 2,117 78X4136 Federal Aid to Wildlife Restoration, United States Fish and Wild 488 (6) 482 14X5029 Federal Disability Insurance Trust Fund......................... 196,692 (10,048) 186,645 20X8007 Federal Hospital Insurance Trust Fund........................... 303,788 (35,123) 268,665 20X8005 FHA- Flexible Subsidy Fund, Housing Programs, Housing and Urban Development................................ 35 0 35 86X4044 FHA - General and Special Risk Insurance Fund, Liquidating Account, Housing and Urban Development................................ 3 0 3 86X4072 FHA- Homeowner Assistance Fund, Housing Programs, Housing and Urban Development................................ * 0 * 86X4043 FHA - Liquidating Account, Housing and Urban Development........ 22,960 0 22,960 86X02362 Federal Old-Age and Survivors Insurance Trust Fund.............. 1,583,560 (59,479) 1,524,082 20X8006 Federal Supplementary Medical Insurance Trust Fund.............. 46,846 (22,723) 24,122 20X8004 Foreign Service Retirement and Disability Fund.................. 13,466 (311) 13,155 19X8186 FSLIC Resolution Fund, The...................................... 3,052 0 3,052 51X4065 General Post Fund, National Homes, Department of Veterans Affair 59 0 59 36X8180 German Democratic Republic Settlement Fund...................... 5 0 5 20X6314 Gifts and Bequests, Office of the Secretary, Department of Trans * 0 * 69X8548 Gifts and Bequests, Treasury.................................... 1 0 1 20X8790 Gifts and Donations, National Endowment of the Arts............. * 0 * 59X8040 Guarantees of Mortgage-Backed Securities Fund, Government National Mortgage Association, Housing and Urban Development.......... 7,712 0 7,712 86X4238 Harbor Maintenance Trust Fund................................... 2,432 0 2,432 20X8863 Harry S. Truman Memorial Scholarship Trust Fund, Harry S. Truman Scholarship Foundation....................................... 55 0 55 95X8296 Hazardous Substance Superfund................................... 2,273 0 2,273 20X8145 Highway Trust Fund.............................................. 42,979 (32,005) 10,974 20X81022 Host Nation Support for U.S. Relocation Activities Account...... 11 0 11 97X8337 Inland Waterways Trust Fund..................................... 358 0 358 20X8861 International Center for Middle Eastern-Western Dialogue Trust F 12 0 12 19X8813 Iranian Claims Settlement Fund, Treasury Department............. * 0 * 20X6312 Israeli Arab Scholarship Program, United States Information Agen 5 0 5 19X8271 James Madison Memorial Fellowship Foundation Fund............... 37 0 37 95X8282 Japan-United States Friendship Trust Fund, Japan-United States Friendship Commission........................................ 39 * 39 95X8025 John C. Stennis Center for Public Service Training and Developme 12 (1) 11 09X8275 Judicial Officers Retirement Fund............................... 207 0 207 10X8122 Judicial Survivors Annuities Fund............................... 451 0 451 10X8110 Kennedy Center Revenue Bond Sinking Fund........................ 7 * 7 20X6311 Land Between the Lakes Trust Fund............................... 5 0 5 12X8039 Leaking Underground Storage Tank Trust Fund..................... 2,350 0 2,350 20X8153 Library of Congress Gift Fund................................... 7 0 7 03X8031 Library of Congress Trust Fund.................................. 35 0 35 03X8032 Lincoln County Land Act......................................... 12 0 12 14X5469 Lower Brule Sioux Tribe Terrestrial Wildlife Habitat Restoration 10 0 10 20X8207 Morris K. Udall Scholarship and Excellence in National Environmental Policy Trust Fund............................................ 28 0 28 95X8615 Multinational Species Conservation Fund......................... * 0 * 14X1652 National Archives Trust Fund, National Archives and Records Admi 11 0 11 88X8436 National Credit Union Share Insurance Fund...................... 6,269 0 6,269 25X4468 National Gift Fund, National Archives and Records Administration 4 0 4 88X8127 National Institutes of Health Conditional Gift Fund............. 1 0 1 75X8253 National Institutes of Health Unconditional Gift Fund........... 20 0 20 75X8248 National Law Enforcement Officers Memorial Maintenance Fund..... 1 0 1 14X4195 National Security Education Trust Fund.......................... 15 0 15 97X8168 National Service Life Insurance Fund, Department of Veterans Aff 19,888 (9,096) 10,792 36X8132 National Service Trust, Corporation for National and Community S 424 0 424 95X8267 Native American Institutions Endowment Fund..................... 54 0 54 12X5205 Natural Resource Damage Assessment and Restoration Fund, U.S. Fish and Wildlife Service, Interior............................... 164 0 164 14X5198 Nuclear Waste Disposal Fund, Department of Energy............... 34,095 (3,329) 30,767 89X5227 Oil Spill Liability Trust Fund.................................. 787 * 787 20X8185 Oliver Wendell Holmes Devise Fund, Library of Congress.......... * 0 * 03X5075 Operating Fund, National Credit Union Administration............ 22 0 22 25X4056 Operation and Maintenance, Indian Irrigation Systems, Bureau of 23 0 23 14X5240 Overseas Private Investment Corporation, Insurance and Equity Non Credit Account...................................................... 3,918 (44) 3,874 71X4184 Panama Canal Commission Compensation Fund....................... 74 0 74 16X5155 Patients Benefit Fund, National Institutes of Health............ * 0 * 75X8888 Payments to Copyright Owners, Copyright Office, Library of Congr 969 0 969 03X5175 Pension Benefit Guaranty Corporation............................ 27,800 (14,254) 13,546 16X4204 Postal Service Fund............................................. 2,168 0 2,168 18X4020 Power Systems, Indian Irrigation Projects, Bureau of Indian Affa 41 0 41 14X5648 Preservation, Birthplace of Abraham Lincoln, National Park Servi * 0 * 14X8052 Prison Industries Fund, Department of Justice................... 196 0 196 15X4500 TABLE III - DETAIL OF TREASURY SECURITIES OUTSTANDING, MARCH 31, 2005 -- Continued 9 Amount in Millions of Dollars Loan Description Issued (Retired) / Inflation Outstanding Nonmarketable--Continued: Government Account Series - Intragovernmental Holdings--Continued: Public Enterprise Revolving Fund, Office of Thrift Supervision, 201 0 201 20X4108 Public Health Service Conditional Gift Fund, Health Resources and Services Administration............................................... 3 0 3 75X8254 Railroad Retirement Account..................................... 804 (310) 495 60X8011 Relief and Rehabilitation, Longshoremen's and Harbor Workers' Compensation Act, as amended, Department of Labor......................... 69 0 69 16X8130 Relief and Rehabilitation, Workmen's Compensation Act, within the District of Columbia, Department of Labor................................ 4 0 4 16X8134 Reregistration and Expedited Processing Fund, Environmental Prot 5 0 5 68X4310 Reserve Mobilization Income Insurance Fund, Defense............. 3 0 3 97X4179 Retired Employees Health Benefits Fund, Office of Personnel Management............................. 2 0 2 24X8445 Revolving Fund for Administrative Expense, Farm Credit Administr 20 0 20 78X4131 Russian Leadership Development Trust Fund....................... 15 (11) 5 09X8148 Saving Association Insurance Fund, The.......................... 12,467 (530) 11,937 51X4066 Science, Space and Technology Education Trust Fund, National Aeronautics and Space Administration..................................... 14 0 14 80X8978 Seized Currency, United States Customs Service.................. 322 0 322 20X6511 Senate Preservation Trust Fund.................................. * 0 * 00X5509 Servicemen's Group Life Insurance Fund.......................... * 0 * 36X4009 Social Security Equivalent Benefit Account, Railroad Retirement 1,266 (454) 813 60X8010 South Dakota Terrestrial Wildlife Habitat Restoration Trust Fund 75 0 75 96X8217 Southern Nevada Public Land Management Act of 1998.............. 1,308 0 1,308 14X5232 Tax Court Judges Survivors Annuity Fund......................... 8 0 8 23X8115 Treasury Forfeiture Fund........................................ 285 0 285 20X5697 Tribal Special Fund, Office of the Special Trustee for American 20 0 20 14X5265 Tribal Trust Fund, Office of the Special Trustee for American In 23 0 23 14X8030 Trust Fund, The Barry Goldwater Scholarship and Excellence in Ed 60 * 60 95X8281 Unconditional Gift Fund, Department of State.................... * 0 * 19X8821 Unemployment Trust Fund......................................... 50,047 (10,787) 39,260 20X8042 United States Enrichment Corporation Fund....................... 1,364 0 1,364 95X4054 United States Government Life Insurance Fund, Department of Vete 90 (42) 48 36X8150 United States Naval Academy General Gift Fund................... 7 0 7 17X8733 United States Trustee System Fund, Justice...................... 244 0 244 15X5073 Uranium Enrichment and Decommissioning Fund, Department of Energ 4,049 0 4,049 89X5231 Utah Reclamation Mitigation and Conservation Account, Interior.. 142 0 142 14X5174 Vaccine Injury Compensation Trust Fund.......................... 2,076 0 2,076 20X8175 Veterans Reopened Insurance Fund................................ 772 (338) 434 36X4010 Veterans Special Life Insurance Fund, Trust Revolving Fund, Department of Veterans Affairs.............................................. 3,013 (1,103) 1,910 36X8455 Vietnam Claims Fund, Financial Management Service............... * 0 * 20X6315 Voluntary Separation Incentive Fund, Defense.................... 741 0 741 97X8335 War-Risk Insurance Revolving Fund, Maritime Administration...... 37 0 37 69X4302 Total Government Account Series - Intragovernmental Holdings...... 3,545,512 (359,302) 3,186,210 Total Government Account Series................................... 3,608,203 (359,310) 3,248,893 Other Debt: Not Subject to the Statutory Debt Limit: United States Notes................................................................................15 256 National and Federal Reserve Bank Notes assumed by the United States on deposit of lawful money for16 65 Silver Certificates (Act of June 24, 1967).........................................................17 178 Other.................................................................................................... 11 Total Not Subject to the Statutory Debt Limit.............................................................. 511 Subject to the Statutory Debt Limit: Mortgage Guaranty Insurance Company Tax and Loss Bonds............................................. c 4,316 United States Savings Stamps............................................................................. 45 Other.................................................................................................... 6 Total Subject to the Statutory Debt Limit.................................................................. 4,368 Total Other Debt............................................................................................. 4,879 Total Nonmarketable.......................................................................................... 3,673,102 Total Public Debt Outstanding................................................................................ 7,776,939 10 TABLE IV - HISTORICAL DATA, MARCH 31, 2005 (Millions of dollars) Comparative by Breakdown Mar 31, 2005 Mar 31, 2004 Sept. 30, 2004 Sept. 30, 2003 Sept. 30, 2002 Sept. 30, 2001 Debt Held by the Public............ 4,572,716 4,176,874 4,307,345 3,924,090 3,553,180 3,339,310 Intragovernmental Holdings......... 3,2 2,9 3 2 2 2,468,153 Total Public Debt Outstanding...... 7,7 7,1 7 6 6 5,807,463 TABLE V - HOLDINGS OF TREASURY SECURITIES IN STRIPPED FORM, MARCH 31, 2005 Corpus Amount Outstanding in Thousands Loan Description STRIP Maturity Date Reconstituted CUSIP Total Portion Held inPortion Held in This 18 Outstanding Unstripped Form Stripped Form Treasury Bonds: CUSIP: Interest Rate: 912810 DQ8 12.000 912803 AD5 05/15/05 4,260,758 1,807,141 2,453,617 101,750 912810 DR6 10.750 912803 AG8 08/15/05 9,269,713 5,814,746 3,454,967 67,800 912810 DU9 9.375 912803 AJ2 02/15/06 4,755,916 4,121,405 634,511 36,048 912810 DN5 11.750 912800 AA7 11/15/14 5,015,284 2,226,162 2,789,122 34,400 912810 DP0 11.250 912803 AA1 02/15/15 10,520,299 8,871,543 1,648,756 781,080 912810 DS4 10.625 912803 AC7 08/15/15 4,023,916 3,291,316 732,600 75,360 912810 DT2 9.875 912803 AE3 11/15/15 5,584,859 3,622,218 1,962,641 162,000 912810 DV7 9.250 912803 AF0 02/15/16 5,431,754 5,156,140 275,614 86,000 912810 DW5 7.250 912803 AH6 05/15/16 18,823,551 18,219,876 603,675 332,400 912810 DX3 7.500 912803 AK9 11/15/16 18,787,448 17,166,361 1,621,087 66,022 912810 DY1 8.750 912803 AL7 05/15/17 15,559,169 9,350,840 6,208,329 706,520 912810 DZ8 8.875 912803 AM5 08/15/17 10,968,358 7,550,946 3,417,412 350,800 912810 EA2 9.125 912803 AN3 05/15/18 6,717,439 3,805,621 2,911,818 660,200 912810 EB0 9.000 912803 AP8 11/15/18 7,174,470 4,064,739 3,109,731 581,200 912810 EC8 8.875 912803 AQ6 02/15/19 13,090,498 7,635,528 5,454,970 465,844 912810 ED6 8.125 912803 AR4 08/15/19 18,940,932 17,147,285 1,793,647 796,203 912810 EE4 8.500 912803 AS2 02/15/20 9,476,268 5,408,415 4,067,853 576,000 912810 EF1 8.750 912803 AT0 05/15/20 7,582,183 5,946,070 1,636,113 1,215,680 912810 EG9 8.750 912803 AU7 08/15/20 17,059,306 10,471,619 6,587,687 1,294,160 912810 EH7 7.875 912803 AV5 02/15/21 10,075,573 7,821,889 2,253,684 488,000 912810 EJ3 8.125 912803 AW3 05/15/21 10,066,788 4,179,259 5,887,529 472,840 912810 EK0 8.125 912803 AX1 08/15/21 9,506,382 5,844,008 3,662,374 416,960 912810 EL8 8.000 912803 AY9 11/15/21 30,632,194 13,419,341 17,212,853 1,836,475 912810 EM6 7.250 912803 AZ6 08/15/22 10,127,790 7,982,470 2,145,320 541,200 912810 EN4 7.625 912803 BA0 11/15/22 7,423,626 3,794,368 3,629,258 229,600 912810 EP9 7.125 912803 BB8 02/15/23 15,782,061 11,098,949 4,683,112 1,128,400 912810 EQ7 6.250 912803 BC6 08/15/23 22,659,044 19,067,479 3,591,565 453,036 912810 ES3 7.500 912803 BD4 11/15/24 9,604,162 3,568,419 6,035,743 285,440 912810 ET1 7.625 912803 BE2 02/15/25 9,509,170 3,583,119 5,926,051 623,000 912810 EV6 6.875 912803 BF9 08/15/25 11,187,207 6,974,906 4,212,301 454,320 912810 EW4 6.000 912803 BG7 02/15/26 12,837,916 11,995,172 842,744 247,200 912810 EX2 6.750 912803 BH5 08/15/26 8,810,418 4,482,055 4,328,363 379,600 912810 EY0 6.500 912803 BJ1 11/15/26 10,860,177 4,136,760 6,723,417 536,300 912810 EZ7 6.625 912803 BK8 02/15/27 9,521,971 4,161,310 5,360,661 316,400 912810 FA1 6.375 912803 BL6 08/15/27 9,196,756 5,168,067 4,028,689 507,400 912810 FB9 6.125 912803 BM4 11/15/27 22,021,339 7,819,850 14,201,489 625,500 912810 FE3 5.500 912803 BP7 08/15/28 11,776,201 10,794,020 982,181 568,400 912810 FF0 5.250 912803 BV4 11/15/28 10,947,052 9,625,728 1,321,324 299,400 912810 FG8 5.250 912803 BW2 02/15/29 11,350,341 10,548,345 801,996 119,600 912810 FJ2 6.125 912803 CG6 08/15/29 11,178,580 9,416,143 1,762,437 89,000 912810 FM5 6.250 912803 CH4 05/15/30 17,043,162 9,316,161 7,727,001 908,448 912810 FP8 5.375 912803 CK7 02/15/31 16,427,648 16,222,448 205,200 0 Total Treasury Bonds............... 491,587,679 332,698,237 158,889,442 19,915,986 Treasury Inflation-Protected Securities: CUSIP: Series: Interest Rate: 912827 2M3 A 3.375 912820 BV8 01/15/07 18,965,664 18,965,664 0 0 912827 3T7 A 3.625 912820 CL9 01/15/08 19,843,009 19,724,977 118,032 0 912827 4Y5 A 3.875 912820 DN4 01/15/09 18,490,194 18,490,194 0 0 912827 5W8 A 4.250 912820 EK9 01/15/10 12,831,066 12,831,066 0 0 912828 CZ1 D 0.875 912820 KV8 04/15/10 12,080,139 12,080,139 0 0 912827 6R8 A 3.500 912820 GA9 01/15/11 12,052,955 12,052,955 0 0 912827 7J5 A 3.375 912820 GT8 01/15/12 6,448,000 6,448,000 0 0 912828 AF7 C 3.000 912820 HC4 07/15/12 24,411,423 24,411,423 0 0 912828 BD1 C 1.875 912820 JA6 07/15/13 20,773,437 20,773,437 0 0 912828 BW9 A 2.000 912820 JT5 01/15/14 21,673,612 21,673,612 0 0 912828 CP3 D 2.000 912820 KL0 07/15/14 19,223,050 19,223,050 0 0 912828 DH0 A 1.625 912820 LE5 01/15/15 10,001,364 10,001,364 0 0 912810 FR4 2.375 912803 CN1 01/15/25 22,255,993 22,255,993 0 0 912810 FD5 3.625 912803 BN2 04/15/28 19,787,217 19,781,322 5,895 0 912810 FH6 3.875 912803 CF8 04/15/29 22,615,239 22,470,246 144,993 0 912810 FQ6 3.375 912803 CL5 04/15/32 5,384,594 5,384,594 0 0 Total Treasury Inflation-Protected 266,836,955 266,568,036 268,919 0 TABLE V - HOLDINGS OF TREASURY SECURITIES IN STRIPPED FORM, MARCH 31, 2005 -- Continued 11 Corpus Amount Outstanding in Thousands Loan Description STRIP Maturity Date Reconstituted CUSIP Total Portion Held inPortion Held in This 18 Outstanding Unstripped Form Stripped Form Treasury Notes: CUSIP: Series: Interest Rate: 912828 AX8 K 1.625 912820 HU4 04/30/05 34,295,459 34,274,659 20,800 0 912827 T85 B 6.500 912820 BN6 05/15/05 14,739,504 14,467,029 272,475 26,605 912827 6D9 E 6.750 912820 ER4 05/15/05 28,562,370 25,348,877 3,213,493 7,400 912828 BB5 L 1.250 912820 HY6 05/31/05 31,020,836 31,020,836 0 0 912828 BC3 M 1.125 912820 HZ3 06/30/05 31,701,455 31,701,455 0 0 912828 BE9 N 1.500 912820 JB4 07/31/05 29,997,026 29,997,026 0 0 912827 U83 C 6.500 912820 BP1 08/15/05 15,002,580 14,789,180 213,400 6,400 912828 BJ8 P 2.000 912820 JF5 08/31/05 30,592,178 30,592,178 0 0 912828 BL3 Q 1.625 912820 JH1 09/30/05 31,538,969 31,538,969 0 0 912828 BN9 R 1.625 912820 JK4 10/31/05 32,368,420 32,368,420 0 0 912827 V82 D 5.875 912820 BQ9 11/15/05 15,209,920 13,432,138 1,777,782 35,000 912827 6N7 F 5.750 912820 FX0 11/15/05 28,062,797 27,251,297 811,500 4,060 912828 BS8 S 1.875 912820 JP3 11/30/05 32,203,806 32,203,806 0 0 912828 BU3 T 1.875 912820 JR9 12/31/05 33,996,270 33,996,270 0 0 912828 BX7 K 1.875 912820 JU2 01/31/06 32,533,188 32,533,188 0 0 912827 W81 A 5.625 912820 BR7 02/15/06 15,513,587 15,364,917 148,670 42,600 912828 CB4 L 1.625 912820 JY4 02/28/06 34,001,950 34,000,350 1,600 0 912828 CD0 M 1.500 912820 KA4 03/31/06 34,338,606 34,338,606 0 0 912828 CF5 N 2.250 912820 KC0 04/30/06 34,334,801 34,334,801 0 0 912827 X80 B 6.875 912820 BS5 05/15/06 16,015,475 14,791,726 1,223,749 55,660 912827 6X5 E 4.625 912820 GG6 05/15/06 27,797,852 27,797,852 0 0 912828 AY6 G 2.000 912820 HV2 05/15/06 22,391,759 22,385,959 5,800 0 912828 CK4 P 2.500 912820 KG1 05/31/06 31,307,947 31,094,747 213,200 9,000 912828 CM0 Q 2.750 912820 KJ5 06/30/06 32,587,733 32,587,733 0 0 912827 Y55 C 7.000 912820 BT3 07/15/06 22,740,446 22,514,046 226,400 0 912828 CQ1 R 2.750 912820 KM8 07/31/06 31,010,881 31,010,881 0 0 912828 BF6 H 2.375 912820 JC2 08/15/06 27,909,346 27,765,946 143,400 14,450 912828 CU2 S 2.375 912820 KR7 08/31/06 31,814,087 31,814,087 0 0 912828 CW8 T 2.500 912820 KT3 09/30/06 31,656,294 31,656,294 0 0 912827 Z62 D 6.500 912820 BU0 10/15/06 22,459,675 22,395,675 64,000 0 912828 CY4 U 2.500 912820 KW6 10/31/06 29,568,526 29,568,526 0 0 912827 7F3 F 3.500 912820 GQ4 11/15/06 35,380,129 34,634,256 745,873 19,600 912828 BP4 J 2.625 912820 JL2 11/15/06 26,535,905 26,520,425 15,480 9,240 912828 DD9 V 2.875 912820 LA3 11/30/06 30,049,344 30,049,344 0 0 912828 DF4 W 3.000 912820 LC9 12/31/06 31,951,752 31,951,752 0 0 912828 DJ6 M 3.125 912820 LF2 01/31/07 29,026,959 29,026,959 0 0 912827 2J0 B 6.250 912820 BW6 02/15/07 13,103,678 11,974,400 1,129,278 110,032 912828 BY5 H 2.250 912820 JV0 02/15/07 25,469,287 25,458,487 10,800 0 912828 DN7 N 3.375 912820 LK1 02/28/07 32,007,046 32,007,046 0 0 912828 DQ0 P 3.750 912820 LM7 03/31/07 32,003,259 32,003,259 0 0 912827 2U5 C 6.625 912820 BX4 05/15/07 13,958,186 12,817,762 1,140,424 24,600 912828 AC4 E 4.375 912820 GZ4 05/15/07 24,351,431 24,318,191 33,240 0 912828 CG3 J 3.125 912820 KD8 05/15/07 27,564,268 26,473,415 1,090,853 304,400 912827 3E0 D 6.125 912820 CA3 08/15/07 25,636,803 23,672,962 1,963,841 29,980 912828 AH3 F 3.250 912820 HE0 08/15/07 25,410,844 25,409,344 1,500 0 912828 CR9 K 2.750 912820 KN6 08/15/07 24,673,687 24,623,287 50,400 0 912828 AN0 G 3.000 912820 HK6 11/15/07 50,619,528 49,762,512 857,016 25,800 912827 3X8 B 5.500 912820 CQ8 02/15/08 13,583,412 12,809,972 773,440 57,785 912828 AT7 E 3.000 912820 HQ3 02/15/08 27,489,260 27,426,460 62,800 810 912828 DK3 M 3.375 912820 LG0 02/15/08 23,885,083 23,844,583 40,500 0 912827 4F6 C 5.625 912820 CY1 05/15/08 27,190,961 26,093,337 1,097,624 3,000 912828 AZ3 F 2.625 912820 HW0 05/15/08 33,338,446 33,338,446 0 0 912828 BG4 G 3.250 912820 JD0 08/15/08 21,357,474 20,966,154 391,320 17,700 912828 BK5 H 3.125 912820 JG3 09/15/08 16,002,177 15,990,977 11,200 0 912828 BM1 J 3.125 912820 JJ7 10/15/08 15,995,702 15,995,702 0 0 912827 4V1 D 4.750 912820 DK0 11/15/08 25,083,125 24,859,280 223,845 3,000 912828 BQ2 K 3.375 912820 JM0 11/15/08 18,181,033 18,158,033 23,000 5,520 912828 BT6 L 3.375 912820 JQ1 12/15/08 16,000,028 16,000,028 0 0 912828 BV1 D 3.250 912820 JS7 01/15/09 16,002,546 16,002,546 0 0 912828 BZ2 E 3.000 912820 JW8 02/15/09 17,433,763 17,339,963 93,800 24,120 912828 CC2 F 2.625 912820 JZ1 03/15/09 16,001,063 15,999,463 1,600 0 912828 CE8 G 3.125 912820 KB2 04/15/09 16,002,805 16,002,805 0 0 912827 5G3 B 5.500 912820 DV6 05/15/09 14,794,790 14,725,420 69,370 0 912828 CH1 H 3.875 912820 KE6 05/15/09 18,059,937 17,880,667 179,270 4,016 912828 CL2 J 4.000 912820 KH9 06/15/09 15,004,754 15,004,754 0 0 912828 CN8 K 3.625 912820 KK2 07/15/09 15,004,962 15,004,962 0 0 912827 5N8 C 6.000 912820 EA1 08/15/09 27,399,894 26,514,228 885,666 0 912828 CS7 L 3.500 912820 KP1 08/15/09 17,294,686 17,294,686 0 0 912828 CV0 M 3.375 912820 KS5 09/15/09 15,005,079 15,005,079 0 0 912828 CX6 N 3.375 912820 KU0 10/15/09 15,005,091 15,005,091 0 0 912828 DB3 P 3.500 912820 KY2 11/15/09 18,751,928 18,730,668 21,260 0 912828 DE7 Q 3.500 912820 LB1 12/15/09 15,002,485 15,002,485 0 0 912828 DG2 E 3.625 912820 LD7 01/15/10 15,004,697 15,004,697 0 0 912827 5Z1 B 6.500 912820 EM5 02/15/10 23,355,709 23,033,009 322,700 0 912828 DL1 F 3.500 912820 LH8 02/15/10 16,617,068 16,617,068 0 0 912828 DP2 G 4.000 912820 LL9 03/15/10 15,005,048 15,005,048 0 0 912827 6J6 C 5.750 912820 FT9 08/15/10 22,437,594 21,868,972 568,622 430,400 912827 6T4 B 5.000 912820 GC5 02/15/11 23,436,329 23,353,049 83,280 0 912827 7B2 C 5.000 912820 GL5 08/15/11 26,635,316 26,338,636 296,680 0 912827 7L0 B 4.875 912820 GV3 02/15/12 24,779,838 24,730,638 49,200 0 912828 AJ9 D 4.375 912820 HF7 08/15/12 19,647,976 19,634,776 13,200 0 912828 AP5 E 4.000 912820 HL4 11/15/12 18,112,742 18,112,542 200 0 912828 AU4 A 3.875 912820 HR1 02/15/13 19,498,396 19,491,756 6,640 0 912828 BA7 B 3.625 912820 HX8 05/15/13 18,253,553 18,247,153 6,400 0 912828 BH2 D 4.250 912820 JE8 08/15/13 33,521,123 33,497,923 23,200 0 912828 BR0 E 4.250 912820 JN8 11/15/13 30,636,844 30,636,844 0 0 912828 CA6 B 4.000 912820 JX6 02/15/14 28,081,066 28,079,066 2,000 0 912828 CJ7 C 4.750 912820 KF3 05/15/14 27,302,981 27,195,781 107,200 0 912828 CT5 E 4.250 912820 KQ9 08/15/14 24,721,634 24,720,834 800 0 912828 DC1 F 4.250 912820 KZ9 11/15/14 25,472,536 25,472,536 0 0 912828 DM9 B 4.000 912820 LJ4 02/15/15 24,214,991 24,214,991 0 0 Total Treasury Notes............... 2,226,621,774 2,205,891,983 20,729,791 1,271,178 Grand Total................................................ 2,985,046,408 2,805,158,256 179,888,152 21,187,164 12MONTHLY STATEMENT OF THE PUBLIC DEBT OF THE UNITED STATES MARCH 31, 2005 - FOOTNOTES * Less than $500 thousand. 1These long-term marketable securities have been issued to the Civil Service Retirement Fund and are not currently traded in the market. 2Included in this total are marketable securities held by Federal agencies for which Treasury serves as the custodian. Federal agencies may hold marketable securities through custodians other than Treasury for which data is not available. 3Represents the unamortized discount on Treasury Bills and zero-coupon Treasury Bonds. 4Debentures issued (series MM) by FHA that are redeemable with 3 months' notification. 5Pursuant to 31 U.S.C. 3101(b). By Act of November 19, 2004, Public Law 108-415, the Statutory Debt Limit was permanently increased to $8,184,000 million. 6Bills are sold by competitive bidding on a bank discount yield basis. The sale price of these securities gives an approximate yield on a bank discount basis (360 days a year) as indicated. Effective November 10, 1997, three decimal bidding, in .005 percent increments, is required for regular Treasury Bill auctions 4-,13- and 26- week bills. 7For price and yield ranges of unmatured securities issued at a premium or discount see Table 3, Public Debt Operations of the quarterly Treasury Bulletin. 8These securities are not eligible for stripping and reconstitution, see Table V, "Holdings of Treasury Securities in Stripped Form". 9Redeemable at option of United States on and after dates indicated, unless otherwise shown, but only on interest dates on 4 months' notice. 10Redeemable on demand. 11Amounts issued, retired, and outstanding for Series E, EE, and I Savings Bonds and Savings Notes are stated at cost plus accrued discount. Amounts issued, retired, and outstanding for Series H and HH Bonds are stated at face value. 12The minimum holding period has been extended from 6 to 12 months, effective with issues dated on and after February 1, 2003. Series EE and I Savings Bonds bearing issue dates prior to February 2003 retain the 6 month minimum holding period from the date of issue at which time they may be redeemed at the option of the owner. 13The bonds are issued at par and semiannual interest is added to principal. Redeemable without interest during the first twelve months after issue date. There- after, bonds presented for payment prior to age 59-1/2 years carry a penalty except in case of death or disability or upon "roll-over" to other authorized investments. 14Redeemable at any time effective with the 1984 Tax Reform Act. The redemption proceeds should be reported as income unless reinvested into an individual retirement plan or an employee plan qualified under Section 401 of the Internal Revenue Code. 15Excludes $25 million United States Notes issued prior to July 1, 1929, determined pursuant to Act of June 30, 1961, 31 U.S.C. 5119, to have been destroyed or irretrievably lost. 16Excludes $29 million National Bank Notes issued prior to July 1, 1929, and $2 million Federal Reserve Bank Notes issued prior to July 1, 1929, determined pursuant to Act of June 30, 1961, 31 U.S.C. 5119 to have been destroyed or irretrievably lost. 17Excludes $200 million Silver Certificates issued after June 30, 1929, determined pursuant to Act of June 24, 1967, to have been destroyed or irretrievably lost. 18Effective May 1, 1987, securities held in stripped form were eligible for reconstitution to their unstripped form. GENERAL: The outstanding balances in this statement are based upon daily cash activity reports from Federal Reserve Banks and Bureau Offices and are subject to audit and subsequent adjustments. GIFTS TO REDUCE DEBT HELD BY THE PUBLIC: February 2005 Fiscal Year 2005 to Fiscal Year 2004 $38,880.73 $279,660.89 $664,911.25 The data reported represents a one or two month lag behind the date of the Monthly Statement of the Public Debt. MATURITIES: a Total Marketable consists of short-term debt (1 year and less) of $1,059,101 million, long-term debt (greater than 1 year) of $3,044,620 million and matured debt of $117 million. b Total Nonmarketable consists of short-term debt (1 year and less) of $375,889 million, long-term debt (greater than 1 year) of $3,285,178 million and matured debt of $12,035 million. TAX STATUS: c Issued pursuant to Sec. 832(e), Internal Revenue Code of 1954. d The difference between the price paid for a Treasury Bill and the amount received at redemption upon maturity is treated as ordinary income. If the bill is sold before maturity, part of the difference between the holder's basis (cost) and the gain realized may be treated as capital gain and part may be treated as ordinary income. Under Section 1281 of the Internal Revenue Code, some holder of Treasury Bills are required to include currently in income a portion of the discount accruing in the taxable year. e Income derived from these securities is subject to all taxes now or hereafter imposed under the Internal Revenue Code of 1986, as amended. f These securities are exempt from all taxation now or hereafter imposed on the principal by any state or any possession of the United States or of any local taxing authority. Published on the fourth business day of each month. For sale by the Superintendent of Documents, U.S. Government Printing Office, Washington, D.C. 20402 (202) 512-1800. The subscription price is $44.00 per year (domestic), $61.60 per year (foreign). No single copies are sold.