var Bonds_ItValues = [ ['1','Corporate Bonds'],['2','Foreign issuer - US'],['3','Non-US Currency Denominated'],['4','Structured Products'],['5','Bonds'],['6','Index Linked Notes'],['7','General Obligation Bonds'],['8','Revenue Bonds'],['9','Convertible Bond'],['10','Federal Agency Bond'],['11','Foreign'],['12','Interest Component of Strip Bond'],['13','US Treasury Bonds'],['14','US Treasury Note'],['15','Principal Component of Strip Bond'],['16','Zero Coupon']] 
var last_traded_date = "08 Feb 2012";
var traded_date = "09 Feb 2012";
