CD Rates

Min. Balance Interest Rate% APY%*
SUPER NOW**
paid monthly
$2500.00 0.15% - 0.15%
NOW ACCOUNT**
paid monthly
$ 800.00 0.10% - 0.10%
REGULAR SAVINGS**
Int. compounded & paid quarterly
  0.20% - 0.20%
MONEY MARKET ACCT** $2,500+ 0.10% - 0.10%
compounded monthly $10,000+ 0.15% - 0.15%
  $25,000+ 0.20% - 0.20%
3 MONTH CD
compounded at maturity
  0.20% - 0.20%
6 MONTH CD
compounded at maturity
  0.25% - 0.25%
24 MONTH CD SPECIAL 0.70% - 0.70%
SEE TELLERS FOR DETAILS - OFFER EXPIRES OCTOBER 2nd, 2014
12 MONTH CD   0.35% - 0.35%
18 MONTH CD   0.45% - 0.45%
30 MONTH CD   0.75% - 0.75%
60 MONTH CD   1.50% - 1.51%
18 MONTH IRA   0.45% - 0.45%
30 MONTH IRA   0.75% - 0.75%

*APY % = Annual Percentage Yield
**Variable Rate Accounts – Rate may change at any time.  Fees may reduce earnings.

Payment of Interest:
3 Month & 6 Month CDs - compound at maturity
- checks and deposits to accounts can be monthly or longer
12, 18, 30 and 60 Month - cmpd quarterly, semi-annually or annually
- checks and deposits to accounts can be monthly or longer

Minimum Balance Required on all Certificates is $1,000

In the event that the depositor is allowed to withdrawal all or part of his/her CD before maturity a “substantial penalty” will be imposed.

Contact First State Bank for details or current rates!
Certificate of Deposit contract offer is subject to the discretion of First State Bank.
Terms and conditions of this offer may be changed or altered without notice.