|
|
|
CERTIFICATES OF
DEPOSIT: |
|
**ANNUAL YIELD**
(Interest paid at maturity) |
|
MATURITY |
Interest Rate |
YIELD |
|
|
|
|
|
30-59 Days |
0.750% |
0.750% |
|
60-89 Days |
0.750% |
0.750% |
|
90-179 Days |
0.850% |
0.850% |
|
180-269 Days |
1.240% |
1.250% |
|
270-364 Days |
1.240% |
1.250% |
| 1
Year |
1.490% |
1.500% |
| 18
Month * |
1.590% |
1.600% |
| 2
Year Fixed * |
2.080% |
2.100% |
| 2
1/2 Year * |
2.080% |
2.100% |
| 3
Year * |
2.270% |
2.300% |
| 4
Year * |
2.470% |
2.500% |
| 5
Year * |
2.470% |
2.500% |
|
|
* (Interest Paid
Annually) |
|
NOW ACCOUNTS: |
|
|
Interest Rate |
YIELD |
|
PERSONAL |
.350% |
0.350% |
|
COMMERCIAL |
.350% |
0.350% |
|
PUBLIC FUNDS |
.350% |
0.350% |
|
PRIME 50 & PLUS |
.350% |
0.350% |
|
|
MONEY WORKS: |
|
|
Interest Rate |
YIELD |
|
PERSONAL |
0.500% |
0.500% |
|
BUSINESS LINK |
0.500% |
0.500% |
|
PERSONAL & BUSINESS
GUARANTY GROWTH |
Tiered Rate Account |
|
|
Balances - $ 0.00
- $ 24,999.99 |
0.550% |
0.550% |
| $
25,000.00 - $ 49,999.99 |
0.995% |
1.000% |
| $
50,000.00 - $ 99,999.99 |
1.240% |
1.250% |
| $
100,000.00 & over |
1.490% |
1.500% |
|
PUBLIC FUNDS |
0.500% |
0.500% |
|
|
SAVINGS: |
|
|
Interest Rate |
YIELD |
|
PERSONAL |
1.000% |
1.010% |
|
COMMERCIAL |
1.000% |
1.010% |
|
PUBLIC FUNDS |
1.000% |
1.010% |
|
CHRISTMAS CLUB |
1.000% |
1.010% |
|
|
IRA: |
|
|
Interest Rate |
YIELD |
|
VARIABLE |
2.710% |
2.750% |
|
|
|