Interest Rates

 First Liberty National Bank
   Rates Effective From:
 09/09/2010
 P.O. Box 10109
     
 Liberty, TX 77575
     
 (936) 336-6471
   Through:  09/14/2010

 

 Type of
Account
 Minimum
Deposit
to Open
 Compounding  Interest
Rate
 Annual Percentage
Yield *
 30 Day CD
 $95,000.00  Simple
 0.25%  0.25%
 60 Day CD
 $95,000.00  Simple  0.35%  0.35%
 90 Day CD
 $95,000.00  Simple  0.45%  0.45%
 120 Day CD
 $95,000.00  Simple  0.45%  0.45%
 150 Day CD
 $95,000.00  Simple  0.45%  0.45%
 180 Day CD
 $95,000.00  Simple  0.70%  0.70%
 1 Year CD
 $95,000.00  Simple  1.00%  1.00%
Personal CD's:
30 Day CD
 $500.00  Daily  0.20%  0.20%
 90 Day CD
 $500.00  Daily  0.40%  0.40%
 180 Day CD
 $500.00  Daily  0.65%  0.65%
 1 Year CD
 $500.00  Daily  0.95%  0.95%
 1 1/2 Year CD
 $500.00  Daily  1.20%  1.21%
 2 Year CD
 $500.00  Daily  1.45%  1.46%
 2 1/2 Year CD
 $500.00  Daily  1.60%  1.61%
 3 Year CD
 $500.00  Daily  1.65%  1.66%
 4 Year CD
 $500.00  Daily  1.90%  1.92%
 5 Year CD
 $500.00  Daily  2.15%  2.17%
 Super Now Account
 $100.00  Simple  0.15%  0.15%
 Money Market Investment Account
 $100.00  Simple  0.05%  0.05%
 Money Market Plus Account:
 - $0 to $9,9999.99
 $100.00  Simple  0.05%  0.05%
 - $10,000.00 to $49,999.99
     0.55%
 0.55%
 - $50,000.00 to $94,999.99
     1.05%  1.05%
 - $95,000.00 and above
     1.55%  1.55%
 Regular Savings Account
 $100.00  Daily  0.25%  0.25%
 Student Savings Account
 $50.00  Daily  0.25%  0.25%