Fixed Rate Certificate Offerings (as of 9/13/2019 10:46 AM)
*Associate (non-capitalized) members receive rate less 5bps

**For Community Investment Fund (CIF) investments, you will receive 50% of the posted rate.

Term/Description

Maturity

Rate

Treasury Rate

1 Month Term

10/11/2019

1.90%

1.96%

2 Month Term

11/12/2019

1.90%

1.96%

3 Month Term

12/11/2019

1.90%

1.95%

4 Month Term

1/13/2020

1.90%

1.92%

5 Month Term

2/11/2020

1.90%

1.89%

6 Month Term

3/11/2020

1.90%

1.87%

7 Month Term

4/13/2020

1.85%

1.84%

8 Month Term

5/11/2020

1.85%

1.82%

9 Month Term

6/11/2020

1.85%

1.80%

10 Month Term

7/13/2020

1.85%

1.78%

11 Month Term

8/11/2020

1.80%

1.76%

1.0 Year Term

9/11/2020

1.80%

1.74%

1.5 Year Term

3/11/2021

1.88%

1.77%

2.0 Year Term

9/13/2021

1.83%

1.72%

2.5 Year Term

3/11/2022

1.81%

1.70%

3.0 Year Term

9/13/2022

1.79%

1.68%

 

 

 

 

 

 

Disclaimers

Settlement Date: Current Business Day

Dividend Basis: Actual/365

Amount: Subject to availability

 

**50% of the interest is allocated to the National Credit Union Foundation (NCUF).

 

Highlighted rates are current specials.

 

Posted rates are indications only and are subject to change. Certificates pay dividends monthly. Call your Investment Representative at 800/366-2677 for current rates, floating rate certificate offerings and for terms not quoted. Corporate One reserves the right to approve early redemption on any certificates. Associate members may receive 5 basis points less when applicable. Total deposits held at Corporate One may be limited by membership type. Corporate One reserves the right to change these limits as necessary.