CMFG Rate Sheet

TERM

RATE

6 month convertible 2.99%
1 year fixed 2.54%
2 years fixed 2.24%
3 years fixed 1.54%
4 years fixed 2.20%
5 years fixed 1.59%
6 years fixed 2.69%
7 years fixed 1.99%
10 years fixed 2.14%
5 years variable   1.35%
Alternative B lending   2.74%

Prime rate: 2.45%

The above rates are approximate and subject to change without notice. It is contingent on the mortgage product – Insured or Conventional and Loan-To-Value (LTV).