By late Friday, the outstanding three-month bill was bid at 7.91 percent.
The outstanding one-year bill is bid at 7.31 percent.
By the close, three-month bills were bid at 5.56 percent.
This rate, or Libor, was being bid at 3.063 percent late yesterday.
One-year bill rates were bid at 6.19 percent, down 3 basis points on the day.
One-year bills were bid at 7.12 percent, up 15 basis points.
Six-month bills were bid at 6.18 percent, up 8 basis points on the day.
Three-month bills were bid at 5.81 percent, up 5 basis points, or hundredths of a point.
Six-month bills were bid at 6.03 percent, up 10 basis points.
The seven-year note was bid at 8.09 percent on a when-issued basis.