Canadian Market Index Linked Term Deposits

Rates are subject to change without notice.

For more information, please contact our Member Service Centre at 1-855-220-2580 or visit one of our branches.

Canadian Market Holding Term
1.00% Per annum, interest paid to your account 

Canadian Market Index Linked Term Deposit Issue Information

NameIssue Date (M/D/Y)Maturity Date (M/D/Y)Term (Yrs)Starting Index ValueCurrent Index Value¹Index Change²Maximum Return³
Cdn Market Term Deposit #13 04/18/2018 04/18/2023 5 100.00 105.63 as at 05/17/2018 5.63% 50.00%
Cdn Market Term Deposit #66 04/13/2018 04/13/2020 2 100.00 105.63 as at 05/17/2018 5.63% 8.00%
Cdn Market Term Deposit #12 02/16/2018 02/16/2023 5 100.00 105.19 as at 05/17/2018 5.19% 25.00%
Cdn Market Term Deposit #65 02/16/2018 02/16/2021 3 100.00 105.19 as at 05/17/2018 5.19% 9.00%
Cdn Market Term Deposit #11 12/14/2017 12/14/2022 5 100.00 98.32 as at 05/17/2018 0.0% 25.00%
Cdn Market Term Deposit #64 12/14/2017 12/14/2020 3 100.00 98.32 as at 05/17/2018 0.0% 7.00%
Cdn Market Term Deposit #10 10/17/2017 10/17/2022 5 100.00 100.78 as at 05/17/2018 0.78% 20.00%
Cdn Market Term Deposit #63 10/13/2017 10/13/2020 3 100.00 100.78 as at 05/17/2018 0.78% 6.00%
Cdn Market Term Deposit #9 08/16/2017 08/16/2022 5 100.00 106.00 as at 05/17/2018 6.00% 20.00%
Cdn Market Term Deposit #62 08/17/2017 08/17/2020 3 100.00 106.00 as at 05/17/2018 5.50% 5.50%
Cdn Market Term Deposit #8 06/16/2017 06/16/2022 5 100.00 101.83 as at 05/17/2018 1.83% 20.00%
Cdn Market Term Deposit #61 06/19/2017 06/19/2020 3 100.00 101.83 as at 05/17/2018 1.83% 5.50%
Cdn Market Term Deposit #7 04/18/2017 04/18/2022 5 100.00 100.68 as at 05/17/2018 0.68% 20.00%
Cdn Market Term Deposit #60 04/20/2017 04/20/2020 3 100.00 100.68 as at 05/17/2018 0.68% 5.50%
Cdn Market Term Deposit #6 02/16/2017 02/16/2022 5 100.00 100.64 as at 05/17/2018 0.64% 20.00%
Cdn Market Term Deposit #59 02/21/2017 02/21/2020 3 100.00 100.64 as at 05/17/2018 0.64% 5.00%
Cdn Market Term Deposit #5 12/15/2016 12/15/2021 5 100.00 101.65 as at 05/17/2018 1.65% 25.00%
Cdn Market Term Deposit #58 12/12/2016 12/12/2019 3 100.00 101.65 as at 05/17/2018 1.65% 5.00%
Cdn Market Term Deposit #4 10/19/2016 10/19/2021 5 100.00 105.29 as at 05/17/2018 5.29% 21.00%
Cdn Market Term Deposit #57 10/11/2016 10/11/2018 2 100.00 105.29 as at 05/17/2018 4.50% 4.50%

Cdn Market Term Deposit#3

08/16/2016

08/16/2021

5

100.00

104.15 as at 05/17/2018

4.15%

25.00%

Cdn Market Term Deposit #2

06/14/2016

06/14/2021

5

100.00

105.70 as at 05/17/2018

5.70%

25.00%

Cdn Market Term Deposit #55

06/14/2016

06/14/2019

3

100.00

105.70 as at 05/17/2018

5.70%

6.00%

Cdn Market Term Deposit #1

04/14/2016

04/14/2021

5

100.00

110.23 as at 05/17/2018

10.23%

25.0%

Cdn Market Term Deposit #54

04/12/2016

04/12/2019

3

100.00

110.23 as at 05/17/2018

5.50%

5.50%

Cdn Market Term Deposit #53

02/19/2016

02/19/2019

3

100.00

123.04 as at 05/17/2018

5.50%

5.50%

Cdn Market Term Deposit #52

12/10/2015

12/10/2018

3

100.00

112.03 as at 05/17/2018

4.50%

4.50%

Cdn Market Term Deposit #51

10/19/2015

10/19/2018

3

100.00

111.09 as at 05/17/2018

5.50%

5.50%

Cdn Market Term Deposit #50

08/20/2015

08/20/2018

3

842.16

957.94 as at 05/17/2018

5.00%

5.00%

Cdn Market Term Deposit #49

06/19/2015

06/19/2018

3

857.66

937.61 as at 05/17/2018

5.50 %

5.50%

Cdn Market Term Deposit #48

04/20/2015

04/20/2018

3

886.77

903.21 at maturity

1.85%

6.50%

Cdn Market Term Deposit #47

02/20/2015

02/20/2018

3

890.22

941.86 at maturity

5.80%

8.50%

Cdn Market Term Deposit #46

12/12/2014

12/12/2017

3

846.16

940.81 at maturity

8.50%

8.50%

Cdn Market Term Deposit #45

10/20/2014

10/20/2017

3

847.21

903.88 at maturity

6.69%

8.50%

Cdn Market Term Deposit #44

08/18/2014

08/18/2017

3

876.60

896.71 at maturity

2.29%

8.50%

Cdn Market Term Deposit #43

06/20/2014

06/20/2017

3

856.60

913.74 at maturity

6.67%

8.50%

Cdn Market Term Deposit #42

04/21/2014

04/21/2017

3

813.29

921.14 at maturity

9.00%

9.00%

Cdn Market Term Deposit #41

02/21/2014

02/21/2017

3

805.46

913.68 at maturity 

9.00%

9.00%

Cdn Market Term Deposit #40

12/12/2013

12/12/2016

3

764.05

868.28 at maturity

9.00%

9.00%

Cdn Market Term Deposit #39

10/18/2013

10/18/2016

3

741.33

853.77 at maturity

9.00%

9.00%

Cdn Market Term Deposit #38

08/22/2013

08/22/2016

3

724.08

835.71 at maturity

8.50%

8.50%

Cdn Market Term Deposit #37

06/20/2013

06/20/2016

3

704.11

803.33 at maturity

9.00%

9.00%

Cdn Market Term Deposit #36

04/15/2013

04/15/2016

3

718.01

760.09 at maturity

9.00%

9.00%

Cdn Market Term Deposit #35

02/22/2013

02/22/2016

3

733.63

734.81 at maturity

9.00%

9.00%

Cdn Market Term Deposit #34

12/10/2012

06/10/2016

3.5

698.34

803.65 at maturity

11.0%

11.0%

Cdn Market Term Deposit #33

10/15/2012

04/15/2016

3.5

697.08

762.27 at maturity

11.0%

11.0%

Cdn Market Term Deposit #32

07/19/2012

01/19/2016

3.5

659.68

749.05 at maturity

11.0%

11.0%

All rates and features effective: 2018-05-17. Rates are subject to change without notice.

¹The current index value reports the S&P/TSX60 Index value at a point in time.  The maturity value will be the average closing value of the S&P/TSX60 Index at certain points in time over a three month period prior to the maturity date.  For further information, please refer to the Canadian Market Index Linked Term Deposit Fact Sheet or contact your branch.

²Represents the change in the index over the length of the term = (current index value - starting index value)/starting index value. This is not an annual interest rate.

³The maximum return that can be earned over the term of the deposit, from the issue date to the maturity date. This is not an annual interest rate.

The S&P TSX 60 are trademarks of The McGraw-Hill Companies, Inc. and have been sub- liscensed for use by Interior SavingsCredit Union.  The product is not sponsored, endorsed, sold or promoted by Standard & Poor's.  Standard & Poor's does not make any representation regarding the advisability of investing in the Product.