Products and Services


Bank of Commerce
Rates Effective as of 03/08/10
ACCOUNT TYPE
INTEREST RATE
ANNUAL PERCENTAGE YIELD
INT. PAID
PRIMETIMERS CHECKING
0.25%
0.25%
END OF MONTH
PREMIERE PLUS CHECKING
0.25%
0.25%
END OF MONTH
 
STATEMENT SAVINGS
0.65%
0.65%
QUARTERLY
 
PREMIERE MONEY MARKET
$0 - $2,499
0.50%
0.50%
END OF MONTH
$2,500 - $9,999
0.65%
0.65%
END OF MONTH
$10,000 - $49,999
0.80%
0.80%
END OF MONTH
$50,000 - $99,999
0.90%
0.90%
END OF MONTH
$100,000 - $199,999
1.00%
1.00%
END OF MONTH
$200,000 & OVER
2.47%
2.50%
END OF MONTH
HEALTH SAVINGS ACCOUNT
$100 - $500
0.25%
0.25%
END OF MONTH
$501 - $2,500
0.50%
0.50%
END OF MONTH
$2,501 - $10,000
0.75%
0.75%
END OF MONTH
$10,001 AND OVER
1.00%
1.00%
END OF MONTH



CERTIFICATES OF DEPOSIT
TERM
RATE
APY
INT. PAID
30-89 DAY CD
0.50%
0.50%
AT MATURITY
90-179 DAY CD
1.00%
1.00%
AT MATURITY
180-364 DAY CD
1.24%
1.25%
QUARTERLY
365 + DAY CD
1.39%
1.40%
QUARTERLY
18 MONTH CD
1.54%
1.55%
QUARTERLY
24 MONTH CD
2.04%
2.05%
QUARTERLY
30 MONTH CD
2.04%
2.05%
QUARTERLY
36 MONTH CD
2.48%
2.50%
QUARTERLY
48 MONTH CD
2.72%
2.75%
QUARTERLY
60 MONTH CD
2.97%
3.00%
QUARTERLY



INDIVIDUAL RETIREMENT ACCOUNTS (IRA'S)
12 MONTH IRA
1.39%
1.40%
QUARTERLY
18 MONTH IRA
1.54%
1.55%
QUARTERLY
24 MONTH IRA
2.03%
2.05%
QUARTERLY
36 MONTH IRA
2.47%
2.50%
QUARTERLY
48 MONTH IRA
2.72%
2.75%
QUARTERLY
60 MONTH IRA
2.97%
3.00%
QUARTERLY



SPECIALS
9 MONTH CD SPECIAL
1.49%
1.50%
QUARTERLY
21 MONTH CD SPECIAL
2.23%
2.25%
QUARTERLY
27 MONTH CD SPECIAL
2.53%
2.55%
QUARTERLY
24 MONTH BUMP CD SPECIAL
1.98%
2.00%
QUARTERLY 1 TIME BUMP OPTION, CALL CSR FOR DETAILS