Terminal bonus rates

This is a possible final bonus which we may add when you take money out of the Offshore With-Profits (OWP) Fund or in the event of a claim.

We normally review terminal bonus rates twice a year in February and August but we may change them at short notice if investment conditions change significantly. If this happens, changes may be made at short notice and the following tables may not be updated immediately. All rates shown below are for indicative purposes only.

Please select your product for the terminal bonus rates of your Offshore With-Profits investment from the following list:

CMI Premier Bond II (Policy nos. 2500001A to 2599999Z)
CMI Premier Bond III (Policy nos. 2700001A to 2799999Z)
CMI Capital Investor (Policy nos. 2800000A to 2839999Z)
CMI Global Investor (Policy nos. DA0000 to DA9999, DQ0000 to DQ9999, GA0000 to GA9999 or GQ0000 to GQ9999)