ARCADIA FINANCIAL LTD
424B2, 1999-08-19
SHORT-TERM BUSINESS CREDIT INSTITUTIONS
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<PAGE>


          THIS IS A SUPPLEMENT TO THE PROSPECTUS DATED AUGUST 16, 1999



                        SUBORDINATED NOTE INTEREST RATES


                            EFFECTIVE AUGUST 16, 1999



- --------------------------------------------------------------------------------
         These special interest rates are only applicable to Notes with
       maturities that are one, two or three years and principal amounts
     of $5,000 or more that are purchased on or before September 17, 1999.
- --------------------------------------------------------------------------------
<TABLE>
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
                                                             SPECIAL INTEREST RATES
- ----------------------------------------------------------------------------------------------------------------------
         PORTFOLIO AMOUNT (1)        $5,000 - $24,999             $25,000 - $49,999            $50,000 - $99,999
- ----------------------------------------------------------------------------------------------------------------------
                                  INTEREST       ANNUAL        INTEREST        ANNUAL        INTEREST       ANNUAL
              NOTE                 RATE %        YIELD %        RATE %        YIELD %         RATE %        YIELD %
- ----------------------------------------------------------------------------------------------------------------------
<S>                               <C>            <C>           <C>            <C>            <C>            <C>
       365-Day Extendible (3)      11.00          11.00         11.27          11.27          11.54          11.54
- ----------------------------------------------------------------------------------------------------------------------
      One Year Fixed-Term (3)      11.00          11.00         11.27          11.27          11.54          11.54
- ----------------------------------------------------------------------------------------------------------------------
      Two Year Fixed-Term (4)      10.57          11.00         10.82          11.27          11.07          11.54
- ----------------------------------------------------------------------------------------------------------------------
    Three Year Fixed-Term (4)      10.57          11.00         10.82          11.27          11.07          11.54
- ----------------------------------------------------------------------------------------------------------------------

<CAPTION>
- -----------------------------------------------------------------
                   SPECIAL INTEREST RATES
- -----------------------------------------------------------------
         PORTFOLIO AMOUNT (1)              Over $100,000
- -----------------------------------------------------------------
                                      INTEREST        ANNUAL
               NOTE                    RATE %        YIELD %
- -----------------------------------------------------------------
<S>                                   <C>            <C>
       365-Day Extendible (3)          11.81          11.81
- -----------------------------------------------------------------
      One Year Fixed-Term (3)          11.81          11.81
- -----------------------------------------------------------------
      Two Year Fixed-Term (4)          11.32          11.81
- -----------------------------------------------------------------
    Three Year Fixed-Term (4)          11.32          11.81
- -----------------------------------------------------------------
</TABLE>

<TABLE>
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
                                                           STANDARD INTEREST RATES
- ----------------------------------------------------------------------------------------------------------------------
         PORTFOLIO AMOUNT (1)        $1,000 - $24,999             $25,000 - $49,999            $50,000 - $99,999
- ----------------------------------------------------------------------------------------------------------------------
                                  INTEREST       ANNUAL        INTEREST        ANNUAL        INTEREST       ANNUAL
             NOTE                  RATE %        YIELD %        RATE %        YIELD %         RATE %        YIELD %
- ----------------------------------------------------------------------------------------------------------------------
<S>                               <C>            <C>           <C>            <C>            <C>            <C>
        90-Day Extendible (2)       8.01          8.25           8.26           8.52           8.51          8.79
- ----------------------------------------------------------------------------------------------------------------------
       180-Day Extendible (2)       8.76          8.95           9.01           9.21           9.26          9.47
- ----------------------------------------------------------------------------------------------------------------------
       365-Day Extendible (3)       9.50          9.50           9.75           9.75          10.00          10.00
- ----------------------------------------------------------------------------------------------------------------------
      One Year Fixed-Term (3)       9.50          9.50           9.75           9.75          10.00          10.00
- ----------------------------------------------------------------------------------------------------------------------
      Two Year Fixed-Term (4)       9.88          10.25         10.13          10.52          10.38          10.79
- ----------------------------------------------------------------------------------------------------------------------
    Three Year Fixed-Term (4)      10.25          10.65         10.50          10.92          10.75          11.19
- ----------------------------------------------------------------------------------------------------------------------
     Four Year Fixed-Term (4)      10.57          11.00         10.82          11.27          11.07          11.54
- ----------------------------------------------------------------------------------------------------------------------
     Five Year Fixed-Term (4)      11.13          11.60         11.38          11.87          11.63          12.15
- ----------------------------------------------------------------------------------------------------------------------
      Ten Year Fixed-Term (4)      11.68          12.20         11.93          12.47          12.18          12.75
- ----------------------------------------------------------------------------------------------------------------------


<CAPTION>
- ---------------------------------------------------------------
                 STANDARD INTEREST RATES
- ---------------------------------------------------------------
         PORTFOLIO AMOUNT (1)            Over $100,000
- ---------------------------------------------------------------
                                    INTEREST        ANNUAL
               NOTE                  RATE %         YIELD %
- ---------------------------------------------------------------
<S>                                 <C>            <C>
        90-Day Extendible (2)         8.76           9.05
- ---------------------------------------------------------------
       180-Day Extendible (2)         9.51           9.74
- ---------------------------------------------------------------
       365-Day Extendible (3)        10.25          10.25
- ---------------------------------------------------------------
      One Year Fixed-Term (3)        10.25          10.25
- ---------------------------------------------------------------
      Two Year Fixed-Term (4)        10.63          11.06
- ---------------------------------------------------------------
    Three Year Fixed-Term (4)        11.00          11.46
- ---------------------------------------------------------------
     Four Year Fixed-Term (4)        11.32          11.81
- ---------------------------------------------------------------
     Five Year Fixed-Term (4)        11.88          12.42
- ---------------------------------------------------------------
      Ten Year Fixed-Term (4)        12.43          13.02
- ---------------------------------------------------------------
</TABLE>

(1) The applicable portfolio amount is determined at the time a Note is
purchased by aggregating the principal amounts of all Notes currently owned by
the investor and the investor's immediate family members. Immediate family
members are considered to be parents, children, siblings, grandparents and
grandchildren. Members of sibling families are also considered immediate family
members if both siblings are investors.

(2) Earns simple interest. The Annual Yield calculation assumes that the term of
the Note is extended sequentially for an entire year, that the interest earned
during each term is included in the principal amount for the next term and that
the listed interest rate is the interest rate for each term.

(3) Earns simple interest, which results in the Interest Rate and the Annual
Yield being equal during the initial term.

(4) Interest compounds quarterly. The Annual Yield calculation assumes that
accrued interest is paid annually.





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