CD New Issue Offerings

Certificates of Deposit (CDs) are debt instruments offered by commercial banks, thrifts and brokerages to raise funds for their business activities.

 
Certificates of Deposit (CD) CD New Issue Offerings   As of 11/21/2009 at 05:57 p.m.   help button  
  Issuer Term to
Maturity
Maturity
Date
Payment
Frequency
Coupon Par Amount
Trade BANK HAPOALIM 5.5 YR NON CALL 6 MOT B A CALLABLE 03/15/2010 MONTHLY 4.000 1,000
Trade BROADWAY BANK 5 YR T B A 5 YR 06/01/2010 MONTHLY 4.350 1,000
Trade CAPITAL ONE BK GLEN ALLEN VA 5.10000% 02/07/2012CD N/A 02/07/2012 SEMI-ANNUAL 5.100 0
Trade CENTENNIAL BK 5 YEAR T B A 5 YR 10/01/2009 MONTHLY 4.000 1,000
Trade CELTIC BK SALT LAKE CITY UTAH 3.65000% 09/17/2008CD 4 YR 09/17/2008 SEMI ANNUAL 3.650 1,000
Trade FARMERS BANK & TRUST6 MONTH T.B A 90 MO 03/16/2012 MONTHLY 4.000 1,000
Trade FLAGSTAR BK FSB TROY MICH 3.70000% 09/15/2008CD 4 YR 09/15/2008 SEMI ANNUAL 3.700 1,000
Trade FLAGSTAR BK FSB TROY MICH 4.00000% 09/15/2009CD 5 YR 09/15/2009 SEMI ANNUAL 4.000 1,000
Trade LEHMAN BROS 5 YEAR T B A 5 YR 05/17/2011 SEMI ANNUAL 5.350 1,000
Trade M&I MARSHALL&ILSLEY BK WIS 4.00000% 09/15/2010CD 6 YR 09/15/2010 SEMI ANNUAL 4.000 1,000
Trade MORGAN STANLEY BK N A UTAH 5.00000% 10/15/2014CD CLL CALLABLE 10/15/2014 MONTHLY 5.000 1,000
Trade PEOPLES BK NA MARIETTA OH 3.60000% 09/10/2008CD 4 YR 09/10/2008 SEMI ANNUAL 3.600 1,000
Trade ROYAL BK PA NARBETH CD 3.65000% 09/24/2008 4 YR 09/24/2008 MONTHLY 3.650 1,000
Trade SOUTHWEST BK ST LOUIS MO 4.55000% 09/22/2014CD 10 YR 09/22/2014 MONTHLY 4.550 1,000
Trade SOVEREIGN BK 2 YEAR T B A CALLABLE 09/30/2014 MONTHLY 5.000 1,000
Trade SOVEREIGN BK FSB WYOMISSING PA 4.00000% 09/30/2009CD CLL CALLABLE 09/30/2009 MONTHLY 4.000 1,000
Trade TOWN CENTER BANK OR CD 3.60000% 09/10/2008 4 YR 09/10/2008 MONTHLY 3.600 1,000
Trade TREASURY BK ALEXANDRIA VA 4.00000% 09/16/2009CD 5 YR 09/16/2009 MONTHLY 4.000 1,000
Trade TREASURY BK 5 YEAR T B A 5 YR 09/23/2009 MONTHLY 3.900 1,000
Trade UNIONBANK STREATOR ILL 4.10000% 09/09/2011CD 7 YR 09/09/2011 SEMI ANNUAL 4.100 1,000
As with all of your investments through Fidelity, you must make your own determination of whether any of these securities are consistent with your investment objective and risk tolerance. Fidelity is not recommending or endorsing any of these securities by making them available to its customers.
Yields are as of standard settlement date. All rates are subject to change and availability. Yields illustrated represent yields to maturity unless otherwise indicated. Bond ratings are from Standard & Poor's and/or Moody's.
Certificates of Deposit may be sold on the secondary market prior to maturity subject to market conditions. Any CD sold prior to maturity may be subject to a substantial gain or loss.
Lehman Brothers Bank (FSB) CDs are not available for sale in the state of Texas.
The Federal Deposit Insurance Corporation (FDIC) insures CDs for principal and accrued interest up to $100,000 per issuer. Any account or deposits that you may maintain directly with a particular issuer are aggregated with the CDs for purposes of the $100,000 limit.
If your CD has a maturity date of more than one year from the date of issue, the pre-maturity sale price may be less than its original purchase price, particularly if interest rates are higher at the time of sale. The secondary market may also be limited. Fidelity currently makes a market in this CD but may not do so in the future.
If your CD has a step rate, the interest rate of your CD may be higher or lower than prevailing market rates. Step rate CDs are also subject to secondary market risk and often will include a call provision by the issuer that would subject you to reinvestment risk. The initial rate is not the yield to maturity.
If your CD has a call provision, please be aware the decision to call the CD is at the issuer's sole discretion. Also, if the issuer calls the CD, you may be confronted with a less favorable interest rate at which to reinvest your funds.
Fidelity attempts to update information on this page periodically. However, due to the possibility of system outages, untimely information provided by vendors, or various other reasons, Fidelity cannot guarantee the timeliness or accuracy of information displayed.
 

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