$titleTerm = "Special " Compare Analysis of Mtc with 4.78% APY and First Foundation Bank with 3.75% APY.


Compare Analysis of Mtc with 4.78% APY and First Foundation Bank with 3.75% APY.

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

All calculations are for demonstration purposes only."

  • 1
    LOCAL CD
    $50,000
    7 Month
    4.78%
    N.A.
    $10,000
    Credit Union
    -
     
    SCENARIO
    Year Rate
    4.78%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 2,390 1,673
    2 52,390 2,504 1,753
    3 54,894 2,624 1,837
    4 57,518 2,749 1,925
    5 60,268 2,881 2,017
    6 63,148 3,018 2,113
    7 66,167 3,163 2,214
    8 69,330 3,314 2,320
    9 72,644 3,472 2,431
    10 76,116 3,638 2,547
    11 79,754 3,812 2,669
    12 83,567 3,994 2,796
    13 87,561 4,185 2,930
    14 91,746 4,385 3,070
    15 96,132 4,595 3,217
    16 100,727 4,815 3,370
    17 105,542 5,045 3,531
    18 110,587 5,286 3,700
    19 115,873 5,539 3,877
    20 121,411 5,803 4,062
    TOTAL $77,215 $54,050
  • 2
    ONLINE SAVINGS
    $50,000
    N.A.
    3.75%
    7.93x (National Avg. - 0.47%)
    $1,000
    Bank
    -
    SCENARIO
    Year Rate
    3.75%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 1,875 1,313
    2 51,875 1,945 1,362
    3 53,820 2,018 1,413
    4 55,839 2,094 1,466
    5 57,933 2,172 1,521
    6 60,105 2,254 1,578
    7 62,359 2,338 1,637
    8 64,697 2,426 1,698
    9 67,124 2,517 1,762
    10 69,641 2,612 1,828
    11 72,252 2,709 1,897
    12 74,962 2,811 1,968
    13 77,773 2,916 2,042
    14 80,689 3,026 2,118
    15 83,715 3,139 2,198
    16 86,854 3,257 2,280
    17 90,111 3,379 2,365
    18 93,491 3,506 2,454
    19 96,996 3,637 2,546
    20 100,634 3,774 2,642
    TOTAL $54,408 $38,085