|
RATES AS OF
June 17, 2008
|
ACCOUNT |
Minimum Balance |
Interest Rate |
Annual Percentage
Yield |
| |
*NOW
|
$800
|
0.25%
|
0.25%
|
*MONEY MARKET
|
$2,500-24,999.99
$25,000-99,999.99
$100,000-299,999.99
$300,000+ |
.50%
1.00%
1.20%
2.10% |
.50%
1.00%
1.21%
2.12% |
|
*SAVINGS PASSBOOK
|
Interest paid quarterly |
0.50% |
0.50%
|
*STATEMENT SAVING
|
Interest paid monthly |
0.50% |
0.50% |
|
*PRESENT IRA ACCOUNTS |
$10-49,999.99 $50,000-99,999.99
$100,000-249,999.99
$250,000+ |
3.10% 3.25% 3.60%
3.90% |
3.14%
3.29% 3.65% 3.96% |
|
7-31 Day CD |
$500-2,499.99
$2,500+ |
1.80%
1.80%
|
1.82%
1.82% |
|
91 Day CD |
$2,500+ |
1.90% |
1.91% |
|
6 Month
CD |
$500 - 2,499.99
$ 2,500- 9,999.99 $ 10,000+ |
2.48%
2.98%
3.22%
|
1.76%
3.00%
3.25%
|
|
12
Month CD |
$500-2,499.99
$ 2,500- 9,999.99 $ 10,000+
|
2.05%
3.17%
3.42%
|
2.06%
3.20%
3.45%
|
|
18
Month CD |
$500 - 2,499.99
$2,500-49,999.99
$50,000 +
|
2.25%
2.65%
2.75%
|
2.26%
2.67%
2.77%
|
|
24
Month CD |
$500-2,499.99
$2,500-
9,999.99
$10,000+
|
2.98%
3.42%
3.72%
|
3.00%
3.45%
3.75%
|
|
30 Month CD |
$500-2,499.99
2,500-49,999.99
$50,000 +
|
2.40%
2.85%
3.00%
|
2.41%
2.87%
3.02%
|
|
48 Month CD |
$500-2,499.99
$2,500-49,999.99
$50,000 +
|
3.47%
3.62%
3.81%
|
3.50%
3.65%
3.85%
|
|
60
Month CD |
$500-2,499.99
$2,500-49,999.99
$50,000+
|
3.96%
4.21%
4.45% |
4.00%
4.25%
4.50%
|
|
CD SPECIALS |
|
|
84 MONTH BUMP
UP CD6 MONTH C.D.
Automatically Renewable 12 MONTH C.D.
Automatically Renewable
24 MONTH C.D.
Automatically Renewable |
$2500-49,99.99
$50,000 +
$10,000+
$10,000+
$10,000+ |
4.21%
4.35%
3.22%
3.42%
3.72% |
4.25%
4.40%
3.25%
3.45%
3.75% |
A penalty may be imposed for early
withdrawal.
The interest rates and Annual Percentage
Yield are accurate as
of the date printed shown above.
Member of the Federal Deposit Insurance
Corporation.
* Rates are subject to change
Fees may reduce earnings
|