Fifth Third Bank

Branches

Your current location is: New York, NY

Fifth Third Bank Locations

Rates - August 19, 2018

Your current location is: New York, NY

CD RATES APY MIN MAX
3 Mo CD 10K
0.05% $10,000 $24,999 Compare
3 Mo CD 100K
0.50% $100,000 $499,999 Compare
6 Mo CD 10K
0.05% $10,000 $24,999 Compare
6 Mo CD 100K
0.85% $100,000 $499,999 Compare
Special: 11 Mo CD
2.00% $5,000 - Compare
Special: 11 Mo CD
1.50% $5,000 - Compare
12 Mo CD 10K
0.10% $10,000 $24,999 Compare
12 Mo CD 100K
1.25% $100,000 $499,999 Compare
Special: 18 Mo CD
2.00% $5,000 - Compare
18 Mo CD 10K
0.10% $10,000 $24,999 Compare
18 Mo CD 100K
1.25% $100,000 $499,999 Compare
Special: 22 Mo CD
2.25% $5,000 - Compare
24 Mo CD 10K
0.15% $10,000 $24,999 Compare
24 Mo CD 100K
1.55% $100,000 $499,999 Compare
Special: 27 Mo CD
2.50% $5,000 - Compare
30 Mo CD 10K
0.15% $10,000 $24,999 Compare
30 Mo CD 100K
1.55% $100,000 $499,999 Compare
Special: 33 Mo CD
2.50% $5,000 - Compare
36 Mo CD 10K
0.20% $10,000 $24,999 Compare
36 Mo CD 100K
1.76% $100,000 $499,999 Compare
48 Mo CD 10K
0.30% $10,000 $24,999 Compare
48 Mo CD 100K
1.85% $100,000 $499,999 Compare
60 Mo CD 10K
0.50% $10,000 $24,999 Compare
60 Mo CD 100K
0.50% $50,000 - Compare
SAVINGS RATES APY MIN MAX
Savings 2.5K
0.01% $1 $9,999 Compare
FIXED IRA RATES APY MIN MAX
Fixed IRA 0K
0.05% $500 $4,999
Special: 11 Mo FIRA
2.00% $5,000 -
Special: 11 Mo FIRA
1.50% $5,000 -
Special: 18 Mo FIRA
2.00% $5,000 -
Special: 22 Mo FIRA
2.25% $5,000 -
Special: 27 Mo FIRA
2.50% $5,000 -
Special: 33 Mo FIRA
2.50% $5,000 -
VARIABLE IRA RATES APY MIN MAX
Var IRA 0K
0.10% $50 -
MM RATES APY MIN MAX
MM 2.5K
0.01% $1 $9,999 Compare
MM 10K
0.02% $10,000 $24,999 Compare
MM 25K
0.05% $25,000 $49,999 Compare
MM 25K
0.10% $25,000 $49,999 Compare
INT CHECKING RATES APY MIN MAX
Int Ckg 0K
0.01% $1 $9,999

Overview 2018

General Bank Information

FDIC Insured Yes
FDIC Certificate # 6672
Date Established 1865
Assets $139.44 billion
Loans $91.43 billion
Deposits $109.89 billion
Capital $16.84 billion

Summary Balance Sheet

ASSETS
Cash & Balances due from depository institutions $3.79 billion
Interest-bearing balances $1.75 billion
Total securities $31.24 billion
Federal funds sold and reverse repurchase $0.00 billion
Net loans and leases $91.43 billion
Loan loss allowance $1.14 billion
Trading account assets $1.50 billion
Bank premises and fixed assets $0.00 billion
Other real estate owned $0.04 billion
Goodwill and other intangibles $3.32 billion
All other assets $6.42 billion
     Total Assets $122.60 billion

LIABILITIES
Total deposits $109.89 billion
      Interest-bearing deposits $75.24 billion
      Deposits held in domestic offices $109.40 billion
      % insured (estimated) 53.90%
Federal funds purchased and repurchase agreements $0.84 billion
Trading liabilities $0.69 billion
Other borrowed funds $8.44 billion
Subordinated debt $0.75 billion
All other liabilities $2.00 billion
      Total Liabilities $122.60 billion
      Shareholders’ Equity $16.84 billion

Summary Income Statement

INCOME AND EXPENSES
Total Interest Income $1.22 billion
Total Interest Expense $0.16 billion
Net interest income $1.05 billion
Provision for loan and lease losses $0.02 billion
Total non interest income $0.89 billion
Total non interest expense $1.00 billion
Pre-tax Net Operating Income $0.92 billion

Fifth Third Bank is an FDIC insured institution headquartered at 38 Fountain Square Plaza, Cincinnati, OH 45263.
It was founded in 1865 and has approximately $139 billion in assets. Customers can open an account at one of its 1319 branches.

Savings Comparison

This analysis is for demonstrative purposes only. Savings rates may go up or down, and CD rates may not be renewable for the length of the term of the analysis.

PRODUCT
BANK
BANK TYPE
STATE
AMOUNT
TERM
APY
VS.NATL'L AV.
MIN
MILES

Tax Rate: 30%

All calculations are for demonstration purposes only.

  • 1
    LOCAL CD
    Bank
    OHIO
    $50,000
    3 Month
    0.05%
    0.16x (National Avg. - 0.31%)
    $10,000
    -
    SCENARIO
    $compareResults
    Year Rate
    0.05%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 25 18
    2 50,025 25 18
    3 50,050 25 18
    4 50,075 25 18
    5 50,100 25 18
    6 50,125 25 18
    7 50,150 25 18
    8 50,175 25 18
    9 50,200 25 18
    10 50,225 25 18
    11 50,251 25 18
    12 50,276 25 18
    13 50,301 25 18
    14 50,326 25 18
    15 50,351 25 18
    16 50,376 25 18
    17 50,402 25 18
    18 50,427 25 18
    19 50,452 25 18
    20 50,477 25 18
    TOTAL $502 $352
  • 2
    ONLINE CD
    Online Bank
    -
    $50,000
    12 Month
    2.40%
    3.03x (National Avg. - 0.79%)
    $25,000
    -
    SCENARIO
    $compareResults
    Year Rate
    2.40%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 1,200 840
    2 51,200 1,229 860
    3 52,429 1,258 881
    4 53,687 1,288 902
    5 54,976 1,319 924
    6 56,295 1,351 946
    7 57,646 1,384 968
    8 59,030 1,417 992
    9 60,446 1,451 1,015
    10 61,897 1,486 1,040
    11 63,383 1,521 1,065
    12 64,904 1,558 1,090
    13 66,461 1,595 1,117
    14 68,056 1,633 1,143
    15 69,690 1,673 1,171
    16 71,362 1,713 1,199
    17 73,075 1,754 1,228
    18 74,829 1,796 1,257
    19 76,625 1,839 1,287
    20 78,464 1,883 1,318
    TOTAL $30,347 $21,243
  • 3
    ONLINE CD
    Online Bank
    -
    $50,000
    12 Month
    2.45%
    3.09x (National Avg. - 0.79%)
    $500
    -
    SCENARIO
    $compareResults
    Year Rate
    2.45%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 1,225 858
    2 51,225 1,255 879
    3 52,480 1,286 900
    4 53,766 1,317 922
    5 55,083 1,350 945
    6 56,433 1,383 968
    7 57,815 1,416 992
    8 59,232 1,451 1,016
    9 60,683 1,487 1,041
    10 62,170 1,523 1,066
    11 63,693 1,560 1,092
    12 65,253 1,599 1,119
    13 66,852 1,638 1,147
    14 68,490 1,678 1,175
    15 70,168 1,719 1,203
    16 71,887 1,761 1,233
    17 73,648 1,804 1,263
    18 75,452 1,849 1,294
    19 77,301 1,894 1,326
    20 79,195 1,940 1,358
    TOTAL $31,135 $21,795
  • 4
    ONLINE CD
    Online Bank
    -
    $50,000
    36 Month
    2.55%
    2.08x (National Avg. - 1.23%)
    $500
    -
    SCENARIO
    $compareResults
    Year Rate
    2.55%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 1,275 893
    2 51,275 1,308 915
    3 52,583 1,341 939
    4 53,923 1,375 963
    5 55,298 1,410 987
    6 56,709 1,446 1,012
    7 58,155 1,483 1,038
    8 59,638 1,521 1,065
    9 61,158 1,560 1,092
    10 62,718 1,599 1,120
    11 64,317 1,640 1,148
    12 65,957 1,682 1,177
    13 67,639 1,725 1,207
    14 69,364 1,769 1,238
    15 71,133 1,814 1,270
    16 72,947 1,860 1,302
    17 74,807 1,908 1,335
    18 76,714 1,956 1,369
    19 78,671 2,006 1,404
    20 80,677 2,057 1,440
    TOTAL $32,734 $22,914
  • 5
    ONLINE CD
    Online Bank
    -
    $50,000
    60 Month
    3.00%
    1.88x (National Avg. - 1.60%)
    $500
    -
    SCENARIO
    $compareResults
    Year Rate
    3.00%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 1,500 1,050
    2 51,500 1,545 1,082
    3 53,045 1,591 1,114
    4 54,636 1,639 1,147
    5 56,275 1,688 1,182
    6 57,964 1,739 1,217
    7 59,703 1,791 1,254
    8 61,494 1,845 1,291
    9 63,339 1,900 1,330
    10 65,239 1,957 1,370
    11 67,196 2,016 1,411
    12 69,212 2,076 1,453
    13 71,288 2,139 1,497
    14 73,427 2,203 1,542
    15 75,629 2,269 1,588
    16 77,898 2,337 1,636
    17 80,235 2,407 1,685
    18 82,642 2,479 1,735
    19 85,122 2,554 1,788
    20 87,675 2,630 1,841
    TOTAL $40,306 $28,214