Global Diversified Index Linked Term Deposits

Rates are subject to change without notice.

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Global Diversified 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
Global Diversified Term Deposit #19 08/15/2019 08/15/2024 5 100.00 103.27 as at 09/26/2019 3.27% 45.00%
Global Diversified Term Deposit #18  06/13/2019 13/06/2019 5 100.00 105.91 as at 09/26/2019 5.91% 50.00%
Global Diversified Term Deposit #17  04/15/2019 04/15/2024 5 100.00 109.01 as at 09/26/2019 9.01% 60.00%
Global Diversified Term Deposit #16 02/12/2019 02/12/2024 5 100.00 112.97 as at 09/26/2019 12.97% 60.00%
Global Diversified Term Deposit #15 12/13/2018 12/13/2023 5 100.00 116.73 as at 09/26/2019 16.73% 60.00%
Global Diversified Term Deposit #14 10/16/2018 10/16/2023 5 100.00 113.04 as at 09/26/2019 13.04% 60.00%
Global Diversified Term Deposit #13 08/16/2018 08/16/2023 5 100.00 115.40 as at 09/26/2019 15.40% 37.50%
Global Diversified Term Deposit #12 06/14/2018 06/14/2023 5 100.00 117.58 as at 09/26/2019 17.58% 50.00%
Global Diversified Term Deposit #11 04/18/2018 04/18/2023 5 100.00 121.30 as at 09/26/2019 21.30% 60.00%
Global Diversified Term Deposit #10 02/16/2018 02/16/2023 5 100.00 118.88 as at 09/26/2019 18.88% 24.00%
Global Diversified Term Deposit #9 12/14/2017 12/14/2022 5 100.00 110.31 as at 09/26/2019 10.31% 13.00%
Global Diversified Term Deposit #8 10/17/2017 10/17/2022 5 100.00 111.89 as at 09/26/2019 11.89% 20.00%
Global Diversified Term Deposit #7 08/22/2017 08/22/2022 5 100.00 118.49 as at 09/26/2019 18.49% 20.00%
Global Diversified Term Deposit #6 06/16/2017 06/16/2022 5 100.00 118.76 as at 09/26/2019 18.76% 20.00%
Global Diversified Term Deposit #5 04/18/2017 04/18/2022 5 100.00 119.27 as at 09/26/2019 19.27% 20.00%
Global Diversified Term Deposit #4 02/15/2017 02/02/2022 5 100.00 124.19 as at 09/26/2019 20.00% 20.00%
Global Diversified Term Deposit #3 12/13/2016 12/13/2021 5 100.00 127.45 as at 09/26/2019 20.00% 20.00%
Global Diversified Term Deposit #2 10/18/2016 10/18/2021 5 100.00

131.33 as at 09/26/2019

21.00% 21.00%

Global Diversified Term Deposit #1

08/19/2016

08/19/2021

5

100.00

126.46 as at 09/26/2019

25.00%

25.00%

All rates and features effective: 2019-09-26.  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 Global Diversified 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.

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