CD Specials - Last Updated: July 16, 2024

TermOpening BalanceInterest RateAPY*
7 MONTH WITH FCB CHECKING ACCOUNT $5,000 5.05% 5.15%
7 MONTH WITHOUT FCB CHECKING ACCOUNT $5,000 4.67% 4.75%

Certificates of Deposit - Last Updated: July 16, 2024

TermBalanceInterest RateAPY*
3 MONTH $2,500 - $9,999 3.25% 3.29%
3 MONTH $10,000+ 4.25% 4.32%
6 MONTH $2,500 - $9,999 3.25% 3.29%
6 MONTH $10,000+ 4.25% 4.32%
12 MONTH $2,500 - $9,999 3.50% 3.55%
12 MONTH $10,000+ 4.50% 4.58%
18 MONTH $2,500 - $9,999 3.10% 3.14%
18 MONTH $10,000+ 4.10% 4.16%
24 MONTH $2,500 - $9,999 3.00% 3.03%
24 MONTH $10,000+ 4.00% 4.06%
30 MONTH $2,500 - $9,999 3.00% 3.03%
30 MONTH $10,000+ 4.00% 4.06%
36 MONTH $2,500 - $9,999 2.80% 2.83%
36 MONTH $10,000+ 3.80% 3.85%
48 MONTH $2,500 - $9,999 2.80% 2.83%
48 MONTH $10,000+ 3.80% 3.85%
60 MONTH $2,500 - $9,999 2.80% 2.83%
60 MONTH $10,000+ 3.80% 3.85%

Interest on all Certificates of Deposits is compounded quarterly. Substantial penalty for early withdrawal. The Annual Percentage Yield (APY*) assumes interest will remain on deposit until maturity. A withdrawal of interest will reduce earnings. Call First Community Bank for effective rates after the quoted date 1-800-431-1567.

Insured Money Market - Last Updated: July 16, 2024

BALANCEINTEREST RATEAPY*
$100.00 - 24,999.99 0.95% 0.95%
$25,000.00 - 49,999.99 1.00% 1.00%
$50,000.00 - 74,999.99 1.50% 1.51%
$75,000.00+ 3.10% 3.14%