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Interest Rates as of April 20, 2014

Savings Accounts

APY1

Rate

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0.12

0.12

 

Money Market Checking Account

        

Money Market Investment Account

Daily Collected Balances

APY1

Rate

 

Daily Collected Balances

APY1

Rate

$0.00 - $4,999.99

0.00

0.00

 

$0.00 - $4,999.99

0.00

0.00

$5,000.00 - $24,999.99

0.12

0.12

 

$5,000.00 - $24,999.99

0.12

0.12

$25,000.00 +

0.20

0.20

 

$25,000.00 +

0.20

0.20

Time Certificate of Deposit under $100,000

 

Time Certificate of Deposit over $100,000

3 Month TCD

APY2

Rate

 

 

APY2

Rate

Quarterly Compounding

0.25

0.25

 

14 Days to 30 Days

0.05

0.05

Monthly Compounding 3

0.25

0.25

 

31 Days to 60 Days

0.10

0.10

6 Month TCD

 

 

 

61 Days to 90 Days

0.15

0.15

Quarterly Compounding

0.25

0.25

 

91 Days to 180 Days

0.25

0.25

Monthly Compounding 3

0.25

0.25

 

181 Days to 1 Year

0.25

0.25

12 Month TCD

 

 

 

1 Year

0.50

0.50

Quarterly Compounding

0.50

0.50

 

Monthly Compounding 3

0.50

0.50

 

18-29 Month TCD

 

 

 

Quarterly Compounding

0.50

0.50

 

Monthly Compounding 3

0.50

0.50

 

30 Month TCD

 

 

 

Quarterly Compounding

0.75

0.75

 

Monthly Compounding 3

0.75

0.75

 

1The interest rates and annual percentage yields (APY) are accurate today only and are subject to change without notice. If fees are assessed they can reduce earnings on the account.

These accounts pay interest at a variable rate that may change at any time after the account is opened. The minimum deposit to open an account is $100.00. Please contact a New Accounts Representative for further information regarding applicable fees and terms.

2The interest rates and annual percentage yields (APY) for Time Certificates of Deposit are accurate today only. If fees are assessed they can reduce earnings on the account. The minimum deposit to open an account is $500.00.

A penalty may be imposed for early withdrawal.

A Non Renewable TCD pays interest at a Fixed Rate for the current term.

An Auto Renewable TCD pays interest at a Fixed Rate for the current term and each renewal will be the same as the original term beginning on the maturity date. The interest rate will be the same as we offer on new TCD’s on the maturity date which have the same term, minimum balance (if any) and other features as the original time certificate of deposit.

3Minimum deposit of $5,000.00 for monthly compounding. Please contact a New Accounts Representative for further information regarding applicable fees and terms.

© 2012  Pioneer Trust Bank, N.A. All Rights Reserved.   Member FDIC / Equal Opportunity Lender