| Thursday April 11, 2013 |
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| | | | Market Focus | | | | | | | Market Reflections | | | | | | | Weekly Bill Settlement | | | | | | Mar, 2013 | Chain Store Sales  | | | | | | | | | 6:00 AM ET | | Charles Plosser Speaks | | | | | 8:30 AM ET | wk4/6, 2013 | Jobless Claims ![[Star]](images/mam/star.gif) | New Claims - Level | 385K | 388K | 365K | 346K | | | | | 4-week Moving Average - Level | 354.25K | 355.00K | | 358.00K | | | | | New Claims - Change | 28K | 31K | | -42K | | | | 8:30 AM ET | | James Bullard Speaks | | | | | 8:30 AM ET | Mar, 2013 | Import and Export Prices ![[Star]](images/mam/djstar.gif) | Export Prices - M/M change | 0.8% | 0.7% | 0.1% | -0.4% | | | | | Export Prices - Y/Y change | 1.5% | | | 0.3% | | | | | Import Prices - M/M change | 1.1% | 0.6% | -0.5% | -0.5% | | | | | Import Prices - Y/Y change | -0.3% | | | -2.7% | | | | 9:45 AM ET | wk4/7, 2013 | Bloomberg Consumer Comfort Index  | Level | -34.1 | | | -34.0 | | | | 10:30 AM ET | wk4/5, 2013 | EIA Natural Gas Report  | Weekly Change | -94bcf | | | -14bcf | | | | 11:00 AM ET | | 3-Month Bill Announcement  | Offering Amount | $35.0 B | | | $35.0 B | | | | | CUSIP Number | 912796AS8 | | | 912796AT6 | | | | | Auction Date | April 8, 2013 | | | April 15, 2013 | | | | | Issue (Settlement) Date | April 11, 2013 | | | April 18, 2013 | | | | | Maturity Date | July 11, 2013 | | | July 18, 2013 | | | | | Min Bid Amount | $100 | | | $100 | | | | 11:00 AM ET | | 6-Month Bill Announcement  | Offering Amount | $30.0 B | | | $30.0 B | | | | | CUSIP Number | 912796BF5 | | | 912795Z87 | | | | | Auction Date | April 8, 2013 | | | April 15, 2013 | | | | | Issue (Settlement) Date | April 11, 2013 | | | April 18, 2013 | | | | | Maturity Date | October 10, 2013 | | | October 17, 2013 | | | | | Min Bid Amount | $100 | | | $100 | | | | 11:00 AM ET | | 5-Yr TIPS Announcement  | Offering Amount | $14.0 B | | | $18.0 B | | | | | CUSIP Number | 912828SQ4 | | | 912828UX6 | | | | | Auction Date | December 20, 2012 | | | April 18, 2013 | | | | | Issue (Settlement) Date | December 31, 2012 | | | April 30, 2013 | | | | | Maturity Date | April 15, 2017 | | | April 15, 2018 | | | | | Min Bid Amount | $100 | | | $100 | | | | 1:00 PM ET | | 30-Yr Bond Auction  | Bid/Cover | 2.43 | | | 2.49 | | | | | Coupon Rate | 3.125% | | | 3.125% | | | | | Total Amount | $13 B | | | $13 B | | | | | Yield Awarded | 3.248% | | | 2.998% | | | | 4:30 PM ET | wk4/10, 2013 | Fed Balance Sheet  | Total Assets - Weekly Change | $13.1B | | | $12.3B | | | | | Reserve Bank credit - Weekly Change | $3.3B | | | $15.1B | | | | 4:30 PM ET | wk4/1, 2013 | Money Supply  | M2 Weekly Change | $20.7B | $20.8B | | $67.8B | |
Equity Settlement 4-16-13 |
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Actual Data Source: Haver Analytics |
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Market Moving Indicator |
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Merit Extra Attention |
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Other Key Indicator |
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Consensus Info Available |
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Final Data and Analysis Available |
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