Texas Security Bank – Regular CD

Product Info:

  • 28-day and 3 month CDs have interest added back at maturity
  • All others have interest added back quarterly OR a monthly interest payment is permitted if deposited to a TSB checking account
  • ACH interest payments are allowed for institutional certificates of deposit ONLY
  • The interest rate and yield may change after account opening for Money Market, Savings, and Checking accounts
  • Fees could reduce earnings on the account
  • Daily balance is the amount of principal in the account each day
  • Rates are valid as of the effective date listed and subject to change without notice
  • A penalty may be imposed for early withdrawal
To find out more, visit Texas Security Bank's website.
Current Rates
Term APY Min Deposit
1 month 0.15 % $1,000
3 months 0.25 % $1,000
6 months 0.35 % $1,000
1 year 1.00 % $1,000
2 years 0.90 % $1,000
30 months 1.00 % $1,000
3 years 1.05 % $1,000
5 years 1.60 % $1,000
Rates last updated: 2/8/2012

Regular CD Rate History

1 month CD Rates

Product Fees

Penalties for early withdrawal:

  • Terms up to 6 months – All Interest
  • 6 months – 30 Days Interest
  • 12 months – 90 Days Interest
  • Terms over 12 months – 180 Days Interest

Latest Rate Updates

0.65% 1.00%
1/10/12