StacksVerified U.S. regulatory reference

31 CFR §375.23

Verified against eCFR.gov as of June 20, 2026View official text on eCFR.gov
If any of the offers you submitted are accepted, you must transfer the correct book-entry Treasury securities in the correct par amount against the correct settlement amount on the settlement date. You must deliver the securities to the account specified in the redemption operation announcement.