The MariBank May 2025 Save and Invest Promotion lasts from 1 May 2025 to 30 Jun 2025 (both dates inclusive) and is extended to the first 10,000 customers who are first-time successful applicants for Mari Savings Account in May 2025.
For New Mari Savings Account Successfully Opened in May 2025:
Transaction Period: 1 May 2025 - 31 May 2025
Holding Period: 1 Jun 2025 - 30 Jun 2025
1) Participate using your Mari Savings Account
How is Average Daily Balance in my Mari Savings Account calculated?
It is calculated based on the sum of each end of day deposit balance in June 2025 divided by the number of calendar days in June 2025 (i.e. 30 calendar days).
For more information on the computation of the Average Daily Balance, you may refer to the Promotion Terms & Conditions here.
2) Alternatively, participate using your Mari Invest Account. Simply subscribe to one or more of the funds distributed under Mari Invest
What are Bonus Units?
Bonus Units are additional units of the relevant Funds distributed under Mari Invest, which are awarded to customers who fulfil the Promotion criteria.
Bonus Units credited to your Mari Invest Account are considered part of your holdings of the relevant fund and contribute to the overall Current Market Value.
For more information on your funds and holdings, please refer here.
How is my cash Reward calculated?
These are approximate figures for illustration purposes only and actual figures may differ slightly.
*The interest rate of 3.48% p.a. includes the base interest rate of 2.28% p.a. and the promotional bonus interest rate of 1.20% p.a. which will apply until 15 Jun 2025, and the revised base interest rate of 1.88% p.a. and revised promotional bonus interest rate of 1.60% p.a. which will apply from 16 Jun 2025 onwards.
When will I receive my cash Reward?
Your cash Reward will be credited to your Mari Savings Account within 30 days from the end of the Promotion Period.
You can refer to the Promotion Terms & Conditions here.
Mari Invest Disclaimer
The Fund distributed under Mari Invest SavePlus is the Lion-MariBank SavePlus fund.
The Fund distributed under Mari Invest Income is the PIMCO GIS Income Fund Admin SGD Hedged – Inc.
Historical returns are not indicative of future performance. Returns may vary and are not guaranteed.
This advertisement has not been reviewed by the Monetary Authority of Singapore. The above is meant for informational purposes and should not be relied upon as financial advice.
Mari Invest is not a deposit product. Investment products are not insured by the SDIC. All investments come with risks, including the risk that you may lose all or part of your investment.
Deposit Insurance Scheme
Singapore dollar deposits of non-bank depositors are insured by the Singapore Deposit Insurance Corporation, for up to S$100,000 in aggregate per depositor per Scheme member by law. Foreign currency deposits, dual currency investments, structured deposits and other investment products are not insured.
Our 24/7 Customer Service Team is here for you if you have any questions!