Fifth Third Bank, National Association


Fifth Third Bank, National Association ACH Number: 042000314

Fifth Third Bank, National Association is an FDIC insured institution headquartered at 38 Fountain Square Plz, Cincinnati, OH 45202.
It was founded in 1865 and has approximately $206 billion in assets. Customers can open an account at one of its 1319 branches.

Deposit Rates - March 24, 2023

SAVINGS RATES APY MIN
CD RATES APY MIN
Special: 6 Mo CD
0.15% $5,000 Compare
6 Mo CD
0.02% $10,000 Compare
6 Mo CD
0.05% $100,000 Compare
MM RATES APY MIN
Money Market
0.01% $2,500 Compare
Money Market
0.01% $10,000 Compare
Money Market
0.02% $25,000 Compare
PREMM RATES APY MIN
Premium Money Market
0.02% $10,000 Compare
Premium Money Market
0.04% $25,000 Compare
FIXED IRA RATES APY MIN
Special: 3 Mo FIRA
0.10% $500
Special: 6 Mo FIRA
0.15% $5,000
Special: 12 Mo FIRA
0.20% $5,000
INT CHECKING RATES APY MIN
Int Ckg
0.01% $1
Int Ckg
0.01% $2,500

Overview 2023

General Bank Information

FDIC Insured Yes
FDIC Certificate # 6672
Date Established 1865
Assets $ 205.55 billion
Loans $ 119.84 billion
Deposits $ 167.84 billion
Capital $ 18.45 billion

Summary Balance Sheet

ASSETS
Cash & Balances due from depository institutions $ 9.41 billion
Interest-bearing balances $ 6.35 billion
Total securities $ 50.43 billion
Federal funds sold and reverse repurchase N.A.
Net loans and leases $ 119.84 billion
Loan loss allowance $ 2.10 billion
Trading account assets $ 4.67 billion
Bank premises and fixed assets N.A.
Other real estate owned $ 18.53 million
Goodwill and other intangibles $ 6.74 billion
All other assets $ 10.11 billion
     Total Assets $ 185.83 billion

LIABILITIES
Total deposits $ 167.84 billion
      Interest-bearing deposits $ 110.12 billion
      Deposits held in domestic offices $ 167.65 billion
      % insured (estimated) 49.83%
Federal funds purchased and repurchase agreements $ 687.71 million
Trading liabilities $ 4.92 billion
Other borrowed funds $ 8.93 billion
Subordinated debt $ 921.22 million
All other liabilities $ 3.15 billionn
      Total Liabilities $ 185.83 billion
      Shareholders’ Equity $ 19.71 billion

Summary Income Statement

INCOME AND EXPENSES
Total Interest Income $ 4.54 billion
Total Interest Expense $ 280.19 million
Net interest income $ 4.26 billion
Provision for loan and lease losses $ 382.80 million
Total non interest income $ 2.03 billion
Total non interest expense $ 3.50 billion
Pre-tax Net Operating Income $ 1,451.70 million

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Branches

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Fifth Third Bank, National Association Locations

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
    6 Month
    0.15%
    0.52x (National Avg. - 0.29%)
    $5,000
    -
    SCENARIO
    Year Rate
    0.15%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 75 53
    2 50,075 75 53
    3 50,150 75 53
    4 50,225 75 53
    5 50,301 75 53
    6 50,376 76 53
    7 50,452 76 53
    8 50,527 76 53
    9 50,603 76 53
    10 50,679 76 53
    11 50,755 76 53
    12 50,831 76 53
    13 50,907 76 53
    14 50,984 76 54
    15 51,060 77 54
    16 51,137 77 54
    17 51,214 77 54
    18 51,290 77 54
    19 51,367 77 54
    20 51,444 77 54
    TOTAL $1,522 $1,065
  • 2
    LOCAL CD
    Online Bank
    -
    $50,000
    60 Month
    4.10%
    5.06x (National Avg. - 0.81%)
    $2,500
    -
    SCENARIO
    Year Rate
    4.10%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 2,050 1,435
    2 52,050 2,134 1,494
    3 54,184 2,222 1,555
    4 56,406 2,313 1,619
    5 58,718 2,407 1,685
    6 61,126 2,506 1,754
    7 63,632 2,609 1,826
    8 66,241 2,716 1,901
    9 68,957 2,827 1,979
    10 71,784 2,943 2,060
    11 74,727 3,064 2,145
    12 77,791 3,189 2,233
    13 80,980 3,320 2,324
    14 84,300 3,456 2,419
    15 87,757 3,598 2,519
    16 91,355 3,746 2,622
    17 95,100 3,899 2,729
    18 98,999 4,059 2,841
    19 103,058 4,225 2,958
    20 107,284 4,399 3,079
    TOTAL $61,682 $43,178
  • 3
    LOCAL CD
    Online Bank
    -
    $50,000
    24 Month
    4.30%
    7.76x (National Avg. - 0.55%)
    $2,500
    -
    SCENARIO
    Year Rate
    4.30%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 2,150 1,505
    2 52,150 2,242 1,570
    3 54,392 2,339 1,637
    4 56,731 2,439 1,708
    5 59,171 2,544 1,781
    6 61,715 2,654 1,858
    7 64,369 2,768 1,938
    8 67,137 2,887 2,021
    9 70,024 3,011 2,108
    10 73,035 3,140 2,198
    11 76,175 3,276 2,293
    12 79,451 3,416 2,391
    13 82,867 3,563 2,494
    14 86,430 3,717 2,602
    15 90,147 3,876 2,713
    16 94,023 4,043 2,830
    17 98,066 4,217 2,952
    18 102,283 4,398 3,079
    19 106,681 4,587 3,211
    20 111,268 4,785 3,349
    TOTAL $66,053 $46,237
  • 4
    LOCAL CD
    Online Bank
    -
    $50,000
    12 Month
    4.50%
    10.25x (National Avg. - 0.44%)
    $2,500
    -
    SCENARIO
    Year Rate
    4.50%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 2,250 1,575
    2 52,250 2,351 1,646
    3 54,601 2,457 1,720
    4 57,058 2,568 1,797
    5 59,626 2,683 1,878
    6 62,309 2,804 1,963
    7 65,113 2,930 2,051
    8 68,043 3,062 2,143
    9 71,105 3,200 2,240
    10 74,305 3,344 2,341
    11 77,648 3,494 2,446
    12 81,143 3,651 2,556
    13 84,794 3,816 2,671
    14 88,610 3,987 2,791
    15 92,597 4,167 2,917
    16 96,764 4,354 3,048
    17 101,119 4,550 3,185
    18 105,669 4,755 3,329
    19 110,424 4,969 3,478
    20 115,393 5,193 3,635
    TOTAL $70,586 $49,410