|
| |
 |

Certicates of Deposit offer a reliable investment. Expect the Best™ at Liberty National Bank. |
|
|
|
| Current CD Rates |
| |
30-89 days |
90-179 days |
180-364 days |
1 Year |
18 Month |
2 Year |
3 Year |
4 Year |
| Amount |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
Interest Rate | APY |
| $500-$24,999 |
.05 |
.05 |
.05 |
.05 |
.05 |
.05 |
.10 |
.10 |
.10 |
.10 |
.15 |
.15 |
.20 |
.20 |
.30 |
.30 |
| $25,000-$99,999 |
.10 |
.10 |
.10 |
.10 |
.10 |
.10 |
.15 |
.15 |
.20 |
.20 |
.25 |
.25 |
.35 |
.35 |
.45 |
.45 |
| Effective Date: April 25, 2013 |
|
| |
| Please see an officer for special rates or CD $100,000+ rates.
Regular fees or other conditions could reduce the Annual Percentage Yield (APY).
An interest penalty is required for early withdrawals.
Interest compounds monthly. No other specials applicable to this offer. |
| |
CD Specials
-12 Month CD 0.25% Annual Percentage Yield; 0.250% Rate.* -27 Month CD 0.45% Annual Percentage Yield; 0.450% Rate.*
-12 Month CD 0.30% Annual Percentage Yield; 0.300% Rate.**
-27 Month CD 0.50% Annual Percentage Yield; 0.500% Rate.**
-35 Month CD 0.55% Annual Percentage Yield; 0.550% Rate.**
Rates effective on April 25, 2013 and subject to change. Fees and other conditions could reduce the earnings on the account. An early withdrawal penalty will apply.*$2,500 Minimum Deposit.
**$5,000 Minimum Deposit.
|
|
|