A. TD Bank
Financial Group
The TD Bank Financial Group means The
Toronto-Dominion Bank and its affiliates that
provide deposit, investment, loan,
securities, trust, insurance and other
products or services.
B. Use of
Website
The Toronto-Dominion Bank and its affiliates
are not responsible in any manner for direct,
indirect, special or consequential damages,
however caused, arising out of your use of
this Website and/or any web browser,
including any damages you may suffer if you
transmit confidential or sensitive
information to us or if we communicate such
information to you at your request over the
Internet. Websites accessed by hyperlink
appearing from this Website are for
convenience only. No endorsement of any third
party products, services or information is
expressed or implied by any information,
material or content referred to or included
on, or linked from or to this Website.
C.
Information
The statements contained herein are based on
material believed to be reliable and are
provided for informational purposes only.
They do not provide financial, legal, tax or
investment advice. Graphs are used for
illustrative purposes only. We cannot
guarantee the information is accurate,
complete or current at all times. Particular
investment or trading strategies should be
evaluated relative to each investor’s
objectives, risk tolerance and particular
circumstances. TD Asset Management Inc., The
Toronto-Dominion Bank and its affiliates and
related entities are not liable for any
errors or omissions in the information or for
any loss or damage suffered. We endeavor to
keep the rates and fees posted at this site
current. However, rates, fees and information
are subject to change at any time without
notice to users and the posted rates and fees
at the site may not reflect such changes.
More current rates and fees prevail.
D. Trade-marks and
Copyrights
Certain names, words, titles, phrases, logos,
icons, graphics or designs in the pages of
this Website may constitute trade names,
registered or unregistered trade-marks or
service marks (“Trade-marks”) of The Toronto-
Dominion Bank, other members of The Toronto-
Dominion Bank or of third parties and used
under license by The Toronto-Dominion Bank or
other members of The Toronto-Dominion Bank.
However, the display of Trade-marks on pages
at this Website does not imply that any
license has been granted to any third party.
All information in this Website is protected
under the copyright laws of Canada and/or
other countries. Users of this Website shall
be entitled to copy any information for their
own personal use but may not republish or
reproduce any such information in any manner,
including electronic reproduction by
“uploading” or “downloading”, without the
prior written consent of The Toronto-Dominion
Bank. Otherwise, no one has permission to
copy, redistribute, reproduce or republish,
in any form, any information found in the
pages of this Website.
Any unauthorized downloading, re-
transmission, or other copying or
modification of Trade-marks or other contents
of this Website may be a violation of
statutory or common law rights which could
subject the violator to legal action.
E. Product
Information
(a) General
Products and services of The Toronto-Dominion
Bank and its affiliates are only offered in
jurisdictions where they may be lawfully
offered for sale. All products and services
are subject to the terms of the applicable
agreement. The information contained in this
Website is subject to change without notice
and does not constitute an offer or
solicitation by anyone in any jurisdiction in
which such an offer or solicitation is not
authorized or to any person to whom it is
unlawful to make such an offer or
solicitation. Prospective investors and
others who are not resident in Canada should
consult with their financial advisor and
legal counsel to determine if such products
and services may lawfully be sold to them in
their jurisdiction.
(b)
Disclosure
Commissions, trailing commissions, management
fees and expenses all may be associated with
mutual fund investments. Please read the
prospectus, which contains detailed
investment information, before investing. The
indicated rates of return (other than for
each money market fund) are the historical
annual compounded total returns for the
period indicated including changes in unit
value and reinvestment of distributions. The
indicated rates of return for each money
market fund are an annualized historical
yield based on the seven-day period ended as
indicated and does not represent an actual
one year return. The indicated rates of
return do not take into account sales,
redemption, distribution or optional charges
or income taxes payable by any unitholder
that would have reduced returns. Mutual funds
are not covered by the Canada Deposit
Insurance Corporation or by any other
government deposit insurer and are not
guaranteed or insured. Their values change
frequently. There can be no assurances that a
money market fund will be able to maintain
its net asset value per unit at a constant
amount or that the full amount of your
investment will be returned to you. Past
performance may not be repeated.
TD Mutual Funds, TD e-Series Funds, and the
TD Managed Assets Program are managed by TD
Asset Management Inc., a wholly-owned
subsidiary of The Toronto-Dominion Bank.
Available through TD Investment Services Inc.
(principal distributor), TD Waterhouse Canada
Inc. (Member Canadian Investor Protection
Fund) and independent dealers.
TD e-Series Funds and TD MAP e-Series are e-
Series units of the TD Mutual Funds and TD
Managed Assets Program respectively.
TD Mutual Funds Corporate Class are issued by
TD Mutual Funds Corporate Class Ltd.
Regulatory restrictions limit publishing
performance returns for funds or portfolios
with a history of less than one year.
Mutual fund strategies and current holdings
are subject to change.
Graphs are only used to illustrate the
effects of the compound growth rate and do
not reflect future values of any fund or
returns on investment of any fund.
A 30-day early redemption fee of up to 2%,
payable to the fund, may apply to all units
of TD Mutual Funds and TD Managed Assets
Program Portfolios (except money market
funds).
The performance of an Index fund is expected
to be lower than the performance of its
respective index. Investors cannot invest
directly in an index. Comparisons to indices
have limitations because indices have
volatility and other material characteristics
that may differ from a particular mutual
fund.
U.S.
DISCLOSURE
This information is not to be construed as an
offer to sell or a solicitation to buy any
securities in the United States of America or
the territories or possessions thereof. U.S.
persons who wish to transact in securities
should contact the nearest office of TD
Securities (USA) LLC.
(c) Disclosure for
Dow Jones Industrial Average Index
Funds
The Dow Jones Industrial AverageSM is a
product of Dow Jones Indexes, a licensed
trademark of CME Group Index Services LLC
(“CME”), and has been licensed for use. “Dow
Jones®”, “Dow Jones Industrial AverageSM”,
“DJIASM” and “Dow Jones Indexes” are service
marks of Dow Jones Trademark Holdings, LLC
(“Dow Jones”) and have been licensed for use
for certain purposes by TD Asset Management
Inc. TD Asset Management Inc.’s TD Dow Jones
Industrial AverageSMIndex Fund based on the
Dow Jones Industrial AverageSM, is not
sponsored, endorsed, sold or promoted by Dow
Jones, CME or their respective affiliates and
none of them making any representation
regarding the advisability of investing in
such product.
(d) Disclosure for
Nasdaq® Index Funds
The TD Nasdaq® Index Fund (the “Fund”) is not
sponsored, endorsed, sold or promoted by The
NASDAQ OMX Group, Inc. (including its
affiliates) (NASDAQ OMX, with its affiliates,
are referred to as the “Corporations”). The
Corporations have not passed on the legality
or suitability of, or the accuracy or
adequacy of descriptions and disclosures
relating to, the Fund. The Corporations make
no representation or warranty, express or
implied to the unitholders of the Fund or any
member of the public regarding the
advisability of investing in securities
generally or in the Fund particularly, or the
ability of the Nasdaq-100 Index® to track
general stock market performance. The
Corporations’ only relationship to TDAM is in
the licensing of the Nasdaq®, OMXTM, Nasdaq-
100®, and Nasdaq-100 Index®, registered
trademarks, and certain trade names.
(e) Disclosure for
S&P Index Funds
“Standard & Poor's", and "S&P" are trade-
marks of The McGraw-Hill Companies, Inc.
"TSX" is a trade-mark of TSX Inc. These marks
have been licensed for use by The Toronto-
Dominion Bank. The TD Canadian Index Fund is
not sponsored, endorsed, sold or promoted by
Standard & Poor's or TSX Inc. and neither
party makes any representation, warranty or
condition regarding the advisability of
investing in the Fund.
(f) Disclosure for
Morgan Stanley Capital Index Funds
MSCI EAFE Index (C$), MSCI Europe Index and
MSCI Japan Index are trade or service marks
of Morgan Stanley Capital International Inc.
(“MSCI”) and its affiliates and have been
licensed for use for certain purposes by TD
Asset Management Inc. (“TDAM”). The TD
International Index Fund, TD International
Index Currency Neutral Fund, TD European
Index Fund and TD Japanese Index Fund, based
on the MSCI EAFE Index (C$), MSCI Europe
Index and MSCI Japan Index, have not been
passed on by MSCI as to their legality or
suitability, and are not issued, sponsored,
endorsed, sold or promoted by MSCI. MSCI
makes no warranties and bears no liability
with respect to the TD International Index
Fund, TD International Index Currency Neutral
Fund, TD European Index Fund and TD Japanese
Index Fund. MSCI has no responsibility for
and does not participate in the management of
the TD International Index Fund, TD
International Index Currency Neutral Fund, TD
European Index Fund and TD Japanese Index
Fund assets or sale of the TD International
Index Fund, TD International Index Currency
Neutral Fund, TD European Index Fund and TD
Japanese Index Fund shares. The prospectus
contains a more detailed description of the
limited relationship MSCI has with TDAM and
the TD International Index Fund, TD
International Index Currency Neutral Fund, TD
European Index Fund and TD Japanese Index
Fund.
ALTHOUGH MSCI SHALL OBTAIN INFORMATION FOR
INCLUSION IN OR FOR THE USE IN THE CALUCATION
OF THE MSCI INDEXES FROM SOURCES THAT MSCI
CONSIDERS RELIABLE, NONE OF THE MSCI PARTIES
WARRANTS OR GUARANTEES THE ORIGINALITY,
ACCURACY AND/OR THE COMPLETENESS OF ANY MSCI
INDEX OR ANY DATA INCLUDED THEREIN. NONE OF
THE MSCI PARTIES MAKES ANY WARRANTY, EXPRESS
OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY
THE ISSUER OF THE FUNDS, UNITHOLDERS OF THE
FUNDS OR ANY OTHER PERSON OR ENTITY FROM THE
USE OF ANY MSCI INDEX OR ANY DATA INCLUDED
THEREIN. NONE OF THE MSCI PARTIES SHALL HAVE
ANY LIABILITY FOR ANY ERRORS, OMISSIONS OR
INTERRUPTIONS OF OR IN CONNECTION WITH ANY
MSCI INDEX OR ANY DATA INCLUDED THEREIN.
FURTHER, NONE OF THE MSCI PARTIES MAKES ANY
EXPRESS OR IMPLIED WARRANTIES OF ANY KIND,
AND THE MSCI PARTIES HEREBY EXPRESSLY
DISCLAIM ALL IMPLIED WARRANTIES (INCLUDING,
WITHOUT LIMITATION, THE IMPLIED WARRANTIES OF
MERCHANTABILITY AND FITNESS FOR A PARTICULAR
PURPOSE) WITH RESPECT TO ANY MSCI INDEX AND
ANY DATA INCLUDED THEREIN. WITHOUT LIMITING
ANY OF THE FOREGOING, IN NO EVENT SHALL ANY
OF THE MSCI PARTIES HAVE ANY LIABILITY FOR
ANY DIRECT, INDIRECT, SPECIAL, PUNITIVE,
CONSEQUENTIAL OR ANY OTHER DAMAGES (INCLUDING
LOST PROFITS) EVEN IF NOTIFIED OF THE
POSSIBILITY OF SUCH DAMAGES.
(g) Disclosure for
SAM Indexes GmbH
Dow Jones Sustainability IndexesSM and the
referenced trademarks have been licensed for
use for certain purposes by TD Asset
Management Inc. TD Asset Management Inc.'s TD
Global Sustainability Fund based on the Dow
Jones Sustainability IndexSM is not
sponsored, endorsed, sold or promoted by SAM
Indexes GmbH, Dow Jones & Company, Inc., or
any of their respective affiliates. Neither
SAM Indexes GmbH, Dow Jones & Company, Inc.
nor any of their respective affiliates makes
any representation regarding the advisability
of investing in such product(s).
F. TD Guaranteed
Investment Funds II Disclosure
TD Guaranteed Investment Funds II is
available through selected Life Licensed
Agents.
TD Guaranteed Investment Funds II (“TD GIF
II”) policies are Individual Variable
Insurance Contracts issued by Transamerica
Life Canada (“Transamerica”) and are managed
by TD Asset Management Inc. Transamerica is
the issuer of the TD GIF II contract. As of
March 11th, 2009 TD Guaranteed Investment
Funds II was closed to new policies and as of
April 15th, 2009 existing policies were
closed to additional deposits.
A complete description of the key features of
TD GIF II is contained in the TD GIF II
Annuity Policy and Information Folder. In the
event of any discrepancy between the Annuity
Policy and Information Folder and this
document, the Annuity Policy and Information
Folder take precedence. Any amount that is
allocated to a segregated fund is invested at
the risk of the Contract Owner and may
increase or decrease in value. When
entering into an Individual Variable
Insurance Contract, and purchasing TD GIF II,
investors are depositing money to their
contract and are not buying units of the TD
Mutual Funds and therefore do not possess any
of the rights and privileges of the
unitholders of such funds. The performance of
TD GIF II will be slightly less than that of
the underlying TD Mutual Funds due to the
cost of the guarantee and benefit features.
Past performance is not indicative of future
performance and investment returns will
fluctuate.
TD Mutual Funds are offered by TD Asset
Management Inc., a wholly-owned subsidiary of
The Toronto-Dominion Bank.
® Transamerica and the pyramid design are
registered trademarks of Transamerica
Corporation. Transamerica Life Canada is
licensed to use such marks.
Disclosure for Non-
Canadian Residents
TD Guaranteed Investment Funds II are only
available to Canadian residents. This is not
intended as a solicitation for the purchase
of these products or services in
jurisdictions in which they may not be
legally sold. Persons resident or located in
other countries are not eligible to purchase
these products or associated services.
Disclosure for
Quebec Residents
Quebec Residents - This information is not
intended to be construed as an offer to sell
or a solicitation to buy any securities or
insurance products in Quebec.
G. Disclosure for
other TD Asset Management divisions
TD Quantitative Capital, TD Lancaster
Investment Counsel, and TD Harbour Capital
are all divisions of TD Asset Management
Inc., which is a wholly-owned subsidiary of
The Toronto-Dominion Bank.
H. TD Waterhouse
Private Investment Counsel
TD Waterhouse Private Investment Counsel Inc.
is a subsidiary of The Toronto-Dominion Bank.