Tuff Risk Rates

In our continued effort to add real value to the return on your capital, Tuff Risk is pleased to announce that it now has access to an expanded and much deeper portfolio of fixed income products suitable for your excess liquidity investment portfolio.

As a preferred client, Tuff Risk has secured the following extraordinary rates in a variety of terms. Although these yields may change slightly between now and your settlement date, they are indicative of the returns available today.

Tuff Risk Rates*

30 Day Terms

1.00%

60 Day Terms

1.10%

90 Day Terms

1.15%

120 Day Terms

1.25%

180 Day Terms

1.30%

270 Day Terms

1.35%

 

*PLEASE NOTE: TERM RATES MAY CHANGE WITHOUT NOTICE. PLEASE CALL FOR UP TODATE RATES.

Term Rates (Years)*

1-Year Term

1.71%

2-Year Term

2.51%

3-Year Term

2.79%

4-Year Term

2.71%

5-Year Term

2.94%

*PLEASE NOTE: TERM RATES MAY CHANGE WITHOUT NOTICE. PLEASE CALL FOR UP TODATE RATES.

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If you wish to greatly expand your investment opportunities with an opportunity to increase your portfolio returns, be sure to contact us.

Tuff Risk will review your existing investment policy, examine your current holdings and provide a range of fixed income products to suit your credit union’s specific liquidity needs.

If you have any interest, be sure to call us today at 1-855-922-0229.