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Debt Information

The information in this section is a summary only and is qualified in its entirety by and should be read in conjunction with the more detailed information appearing in the prospectus or similar document related to the security..

TD Limited Recourse Capital Notes

Issue Date Currency / Amount Issued (millions) Redemption Date Interest Rate Maturity Date *Terms *Prospectus Supplement CUSIP / ISIN
7/29/2021 CAD 1,750
10/31/2026(1)
3.60%
10/31/2081

89117FM63 / CA89117FM630

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

     
  
  
  
     

  

1 The par redemption date. After the par redemption, interest is payable at the 5-Year GoC Rate plus 2.747%.

 

* Related offering documents, if applicable, can be viewed at Program & Offering Documents.