|Interest||Membership/ Regular/Kids Club/ Share Accounts1||Power Checking1||Christmas Club1||IRA Shares1|
|Dividend/ Interest Rate/ Annual Percentage Yield||0.05%/0.05%||0.05%/0.05%||0.05%/0.05%||0.25%/0.25%|
|Dividend/ Interest Compounding||Monthly||Monthly||Monthly||Monthly|
|Dividend/ Interest Credited||Quarterly||Monthly||Monthly||Quarterly|
|Required Minimum Balance to Earn Stated APY||$300.00
|Minimum Opening Deposit||$5.00
|Term Certificate||6 Month2 Regular/ IRA||12 Month2 Regular/ IRA||18 Month2 Regular/ IRA||24 Month2 Regular/ IRA|
|Interest Rate/Annual Percentage Yield||0.40%/0.40%||0.50%/0.50%||0.70%/0.70%||0.90%/0.90%|
|Minimum Opening Deposit||$500.00||$500.00||$500.00||$500.00|
Nature of Dividends: Dividends are paid from current income and available earnings after required transfers to reserves at the end of a dividend period.
Dividends are calculated by the Average Daily Balance method, which applies a periodic rate to the Average Daily Balance in the account for the period. The Average Daily Balance is calculated by adding the balance in the account for each day of the period and dividing that figure by the number of days in the period.
For More Information:
Write: P.O. Box 19138, Austin, Texas 78760
Truth In Savings Disclosure and Service Charge Schedule available upon request.
Your accounts are subject to certain fees set forth on our service charge schedule. Fees could reduce the earnings on the account.
Member accounts in the LCRA Credit Union are federally insured by the National Credit Union Administration.
1Variable Rates - The rate may change after the account is opened on share accounts, checking accounts, Christmas Club, and IRA Share Accounts.
2A penalty may be imposed for early withdrawal from term share certificates.
Dividend and Interest Rates 06/01/18.
Power Checking Rate is accurate and effective 05/01/18.
Membership/Regular/Kids Club Share Accounts & IRA Share Account Rates are accurate as of the last Dividend Declaration Date and effective 03/31/18.
Christmas Club Account Rate is accurate as of the last Dividend Declaration Date and effective 04/30/18.
Term Certificate: Effective Date: 05/01/2018.