PNC » Topics » T IME D EPOSITS O F $100,000 O R M ORE

This excerpt taken from the PNC 10-K filed Mar 2, 2009.

TIME DEPOSITS OF $100,000 OR MORE

Time deposits in foreign offices totaled $4.0 billion at December 31, 2008, substantially all of which are in denominations of $100,000 or more.

The following table sets forth maturities of domestic time deposits of $100,000 or more:

 

December 31, 2008 – in millions   

Certificates

of Deposit

Three months or less

   $ 6,177

Over three through six months

     1,904

Over six through twelve months

     6,146

Over twelve months

     8,629

Total

   $ 22,856

 

This excerpt taken from the PNC 10-K filed Feb 29, 2008.

TIME DEPOSITS OF $100,000 OR MORE

Time deposits in foreign offices totaled $7.4 billion at December 31, 2007, substantially all of which are in denominations of $100,000 or more.

 

The following table sets forth maturities of domestic time deposits of $100,000 or more:

 

December 31, 2007 – in millions   

Certificates

of Deposit

Three months or less

   $2,628

Over three through six months

   1,983

Over six through twelve months

   893

Over twelve months

   1,930

Total

   $7,434
This excerpt taken from the PNC 10-K filed Feb 4, 2008.

TIME DEPOSITS OF $100,000 OR MORE

Time deposits in foreign offices totaled $3.0 billion at December 31, 2006, substantially all of which are in denominations of $100,000 or more. The following table sets forth maturities of domestic time deposits of $100,000 or more:

 

December 31, 2006 – in millions     

Certificates

of Deposit

Three months or less

     $1,169

Over three through six months

     2,185

Over six through twelve months

     1,516

Over twelve months

     880

Total

     $5,750

 

COMMON STOCK PRICES/DIVIDENDS DECLARED

The table below sets forth by quarter the range of high and low sale and quarter-end closing prices for our common stock and the cash dividends we declared per common share.

 

      High    Low    Close   

Cash

Dividends
Declared

2006 Quarter

             
 

First

   $71.42    $61.78    $67.31    $.50

Second

   72.00    65.30    70.17    .55

Third

   73.55    68.09    72.44    .55

Fourth

   75.15    67.61    74.04    .55

Total

                  $2.15
 

2005 Quarter

             

First

   $57.57    $50.30    $51.48    $.50

Second

   55.90    49.35    54.46    .50

Third

   58.95    53.80    58.02    .50

Fourth

   65.66    54.73    61.83    .50

Total

                  $2.00

 

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This excerpt taken from the PNC 10-K filed Mar 1, 2007.

TIME DEPOSITS OF $100,000 OR MORE

Time deposits in foreign offices totaled $3.0 billion at December 31, 2006, substantially all of which are in denominations of $100,000 or more. The following table sets forth maturities of domestic time deposits of $100,000 or more:

 

December 31, 2006 – in millions     

Certificates

of Deposit

Three months or less

     $1,169

Over three through six months

     2,185

Over six through twelve months

     1,516

Over twelve months

     880

Total

     $5,750

 

COMMON STOCK PRICES/DIVIDENDS DECLARED

The table below sets forth by quarter the range of high and low sale and quarter-end closing prices for our common stock and the cash dividends we declared per common share.

 

      High    Low    Close   

Cash

Dividends
Declared

2006 Quarter

             
 

First

   $71.42    $61.78    $67.31    $.50

Second

   72.00    65.30    70.17    .55

Third

   73.55    68.09    72.44    .55

Fourth

   75.15    67.61    74.04    .55

Total

                  $2.15
 

2005 Quarter

             

First

   $57.57    $50.30    $51.48    $.50

Second

   55.90    49.35    54.46    .50

Third

   58.95    53.80    58.02    .50

Fourth

   65.66    54.73    61.83    .50

Total

                  $2.00

 

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