Create stable returns through flexibility.

Term divided into two periods.

Certainty of fixed rates and potential benefits of floating rates.

Floating rate reset either monthly, quarterly or semi-annually and adds margin to BBSW.

Protect your portfolio from inflation risk.

Returns linked to the CPI.

Keep pace with movements in inflation with quarterly interest payments.

Choose to protect the principal amount of your deposit from inflation.

Plan your deposit income with certainty.

Get equal principal and interest payments over an agreed investment period.

Match your income to your cash flow needs.

No concerns with movements in interest rates, equity or commodity markets.

Providing enhanced returns on foreign currency.

Deposit funds from a choice of 5 currencies.

Receive an enhanced interest rate relative to standard foreign currency term deposits.

Enjoy the certainty that your interest rate is fixed over the agreed investment period.

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