Bank of Chestnut

100 Olive Street, Box 80, Chestnut, Illinois 62518

(217) 796-3305

 
 

BANK OF CHESTNUT

DEPOSIT RATES

 

The following interest rates and annual percentage yields apply to your deposit accounts.  Additional disclosures effecting the interest rates or frequency of interest rate changes are available on this site.  Some accounts have penalties for early withdrawal.  Other fees may also reduce the earnings on an account.

These rates are the latest rates available.  These rates are subject to change on a daily basis.  You may call 217-796-3305 to determine if any of the posted information has changed.  All accounts are insured by Federal Deposit Insurance Corporation (FDIC)

 

Bank of Chestnut has chosen NOT to participate in the FDIC’s Transaction Account Guarantee Program. Customers of Bank of Chestnut with noninterest-bearing transaction accounts will continue to be insured through December 31, 2013 for up to $250,000 under the FDIC’s general deposit insurance rules.

BANK OF CHESTNUT

DEPOSIT RATES  

Effective January 19, 2010

 Account Type              APY                        RATE                      Minimum Deposit
 

NOW Account

Super NOW

Money Market

Money Market

Savings

91 Day C.D.

182 Day C.D.

12 Mos. C.D.

18 Mos. C.D.

24 Mos. C.D.

36 Mos. C.D.

48 Mos. C.D.

60 Mos. C.D.

I.R.A. 12 Mos.

 

 

       .30%

       .45%

       .65%

       .90%

       .35%

     1.01%

     1.26%

     1.51%

     1.71%

     2.07%

     2.53%

     2.79%

     3.05%

     1.71%

 

 

       .30%

       .45%

       .65%

       .90%

       .35%

     1.00%

     1.25%

     1.50%

     1.70%

     2.05%

     2.50%

     2.75%

     3.00%

     1.70%

 

     $1,200

     $2,500

     $2,500

     $50,000

     $10.00

     $1,000

     $1,000

     $1,000

     $1,000

     $1,000

     $1,000  

     $1,000

     $1,000

     $1,000

 

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