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NIB Bank Limited has declared the following profit rates on PLS deposits for the period of six months ended 31st December 2009.



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Profit Rates on Deposits
====================================================================
for July 01, 2009 to December 31, 2009
====================================================================
RATES
====================================================================
PROMPT PROFIT (Profit on Maturity)
1 Month 7.50%
PCD REGISTERED (Profit on Maturity / Half-Yearly)
3 Months 7.75%
6 Months 8.00%
2 Years (Old COI) 6.25%
3 Years (Old COI) 6.75%
5 Years (Old COI) 7.00%
--------------------------------------------------------------------
SUPER CERTIFICATE (Profit on Maturity / Encashment)
--------------------------------------------------------------------
1 Year 8.50%
--------------------------------------------------------------------
Encashment Options
--------------------------------------------------------------------
1 Month 7.50%
3 Months 7.75%
6 Months 8.00%
9 Months 8.10%
--------------------------------------------------------------------
PROFIT GROWTH (Half-Yearly Profit)
--------------------------------------------------------------------
1st Half-Year 8.00%
2nd Half-Year 8.25%
3rd Half-Year 8.50%
4th Half-Year 8.75%
5th Half-Year 9.25%
6th Half-Year 9.75%
7th Half-Year 10.00%
8th Half-Year 10.50%
9th Half-Year 10.75%
10th Half-Year 11.25%
11th Half-Year 12.00%
12th Half-Year 12.00%
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FAMILY INCOME (Monthly Profit)
--------------------------------------------------------------------
1 Year 9.50%
3 Years 10.50%
5 Years 11.00%
--------------------------------------------------------------------
TERM DEPOSIT ACCOUNT (Profit Payment January to June)
--------------------------------------------------------------------
TDA - Rs 0 - 10,000 5.00%
TDA - Rs 10,000 5.00%
TDA - Rs 1. 0 M 5.00%
TDA - Rs 5.0 M 5.50%
TDA - Rs 10.0 M 6.00%
--------------------------------------------------------------------
GOLDEN CERTIFICATE (Half-Yearly Profit)
--------------------------------------------------------------------
1 Year 8.00%
3 Years 8.50%
5 Years 9.50%
--------------------------------------------------------------------
SPECIAL DEPOSTI (Monthly Profit)
--------------------------------------------------------------------
5 Years 12.00%
====================================================================
UNIQUE DEPOSIT (Profit Quarterly (Option I) / On Maturity)
--------------------------------------------------------------------
(Option II) Discontinued UPTO 5.0 M ABOVE 5.0 M
--------------------------------------------------------------------
3 Years - Option I 6.75% Special rate through Treasury
3 Years - Option II 8.00% 8.00%
5 Years 9.00% 9.00%
====================================================================

Copyright Business Recorder, 2010

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