|
Effective May 16,
2008 through
May 22, 2008
At our discretion,
we may change the
interest rates at
any time.
|
Money
Rates |
Minimum
Balance*
to
obtain (A.P.Y.) |
Interest
Rate |
Annual
Percentage
Yield |
|
IMR
PLUS* |
$75,000
and
above
25,000
to
74,999
24,999
and
below |
1.60%
1.20%
1.05% |
1.61%
1.21%
1.06% |
|
IMR* |
$25,000
and
above
25,000
to
10,000
9,999 to
2,500
2,499
and
below |
1.25%
1.00%
0.60%
0.15% |
1.26%
1.00%
0.60%
0.15% |
|
T-Bill
Money
Market |
Interest
Rate |
Annual
Percentage
Yield |
Balance
Levels
Less
than $49,999.99
$50,000
-
$99,999.99
Greater
than
$100,000 |
0.80%
1.20%
1.61% |
0.80%
1.21%
1.62% |
**This is a Variable
Rate Tiered Account
with the annual
percentage
yield (A.P.Y.)
subject to change at
anytime at our
discretion.
|
**Certificate
Of
Deposits |
Minimum
Balance*
to
obtain (A.P.Y.) |
Interest
Rate |
Annual
Percentage
Yield |
|
91 Day
CD |
$25,000
10,000
1,000 |
1.95%
1.75%
1.50% |
1.96%
1.76%
1.51% |
|
182 Day
CD |
$25,000
10,000
1,000 |
1.95%
1.75%
1.50% |
1.96%
1.76%
1.51% |
|
1 Year
CD |
$25,000
10,000
1,000 |
1.95%
1.75%
1.50% |
1.96%
1.76%
1.51% |
|
9 Month
CD
Special! |
$5,000 |
2.25% |
2.26% |
NO
PENALTY
12 Month
CD
Special!
(no
withdraw
permitted
during
first 6
days of
deposit) |
$5,000 |
2.00% |
2.01% |
|
24 Month
FLEX CD
Special! |
$5,000 -
$49,999.99
$50,000
> |
2.40%
2.50% |
2.41%
2.52% |
|
18 Month
CD |
$25,000
10,000
1,000 |
1.95%
1.75%
1.50% |
1.96%
1.76%
1.51% |
|
2 Year
CD |
$25,000
10,000
1,000 |
2.25%
2.00%
1.75% |
2.26%
2.01%
1.76% |
|
3 Year
CD |
$25,000
10,000
1,000 |
2.50%
2.25%
2.00% |
2.52%
2.26%
2.01% |
|
4 Year
CD Fixed
or "THE
wRIGHT
CD" |
$25,000
10,000
1,000 |
2.50%
2.25%
2.00% |
2.52%
2.26%
2.01% |
|
5 Year
CD |
$25,000
10,000
1,000 |
2.50%
2.25%
2.00% |
2.52%
2.26%
2.01% |
**A penalty may be
imposed for early
withdraw
|