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F & S Series
To accommodate fee-based Financial Advisors, we’re pleased to offer our F-Series line-up of Funds. In addition to extending this option to all TD Mutual Funds in the Advisor Series, we have also made our family of Index Funds available in F-Series.

S series - high distribution paying equivalent of corresponding F series for investors participating in fee based programs and who wish to receive a regular monthly cash flow from a Fund. Distributions will consist of net income and/or return of capital (ROC) component.

 
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Returns as of  Apr. 30, 2013.
Prices Details Performance Yearly
Performance
Risk Print fund info
Fund Name Fund Facts Sort 2012 2011 2010 2009 2008 2007
Money Market ****
TD Premium Money Market  Sort 0.31 0.89 0.98 0.50 0.73 3.36 -
TD Canadian Money Market  Sort 0.19 0.58 0.63 0.25 0.42 3.02 4.36
Fixed Income
TD High Yield Bond  Sort 4.5 12.7 1.7 14.1 70.2 -38.5 -2.3
TD High Yield Bond – S  Sort 4.6 12.7 1.8 14.1 - - -
TD Corporate Bond Capital Yield  Sort 2.1 6.0 6.4 6.8 20.0 -7.4 0.1
TD Canadian Core Plus Bond  Sort 2.2 5.7 8.8 7.0 15.6 -0.4 -
TD Income Advantage Portfolio -S  Sort 2.9 5.3 5.7 7.0 17.4 -6.8 1.6
TD Income Advantage Portfolio  Sort 2.9 5.2 5.8 6.9 17.4 -6.8 1.6
TD Canadian Bond  Sort 1.8 4.0 8.9 6.7 10.4 3.0 2.2
TD Canadian Bond Index  Sort 1.6 3.0 9.0 6.3 4.6 5.5 3.2
TD Real Return Bond  Sort 0.4 2.1 16.4 9.5 14.5 -0.4 1.7
TD Short Term Bond  Sort 1.2 2.1 3.9 3.3 6.0 7.0 3.1
TD Mortgage  Sort 1.0 2.1 3.1 2.7 - - -
TD Ultra Short Term Bond  Sort 0.4 1.1 1.7 - - - -
TD Global Bond  Sort -0.6 0.5 9.1 1.6 -1.9 29.2 -6.9
Target Return
TD Target Return Balanced Fund  Sort 1.9 6.8 - - - - -
TD Target Return Conservative Fund  Sort 1.1 4.9 - - - - -
Balanced
TD Dividend Income  Sort 4.3 10.7 2.7 10.2 32.1 -28.0 1.2
TD Dividend Income -S  Sort 4.3 10.7 2.8 10.2 32.2 -28.0 1.1
TD Monthly Income - S  Sort 3.4 9.1 4.3 10.5 31.4 -22.9 3.7
TD Monthly Income  Sort 3.4 9.1 4.2 10.5 31.5 -23.0 3.8
TD Diversified Monthly Income  Sort 3.2 8.7 2.9 11.8 28.7 -24.5 -
TD Diversified Monthly Income - S  Sort 3.3 8.6 3.0 11.6 28.8 -24.6 -
TD U.S. Monthly Income ($US) - S  Sort 9.0 8.2 - - - - -
TD U.S. Monthly Income ($US)  Sort 9.0 8.2 - - - - -
TD Balanced Growth  Sort 3.6 6.9 -1.2 7.4 18.0 -19.1 2.8
TD Balanced Income  Sort 1.6 6.4 0.7 6.5 12.9 -10.2 0.4
TD Tactical Monthly Income Fund - F  Sort - - - - - - -
TD Tactical Monthly Income Fund - S  Sort - - - - - - -
TD Strategic Yield Fund - F  Sort - - - - - - -
TD Strategic Yield Fund - S  Sort - - - - - - -
Canadian Equity
TD Canadian Small-Cap Equity  Sort 6.4 13.9 -15.3 37.1 62.3 -37.4 3.8
TD Dividend Growth - S  Sort 4.1 11.4 -0.4 10.4 34.2 -29.1 -
TD Dividend Growth  Sort 4.1 11.3 -0.4 10.4 34.3 -29.2 2.5
TD Canadian Value  Sort 0.5 8.2 -14.1 16.1 44.0 -36.8 3.7
TD Canadian Blue Chip Equity  Sort 1.0 6.9 -3.3 7.3 22.7 -23.9 2.7
TD Canadian Index  Sort 1.0 6.7 -9.1 16.8 34.4 -33.2 9.3
TD Canadian Equity  Sort 3.0 5.1 -10.0 18.4 49.1 -41.5 11.9
US Equity
TD Nasdaq Index  Sort 8.8 17.8 2.1 17.3 49.9 -42.9 16.5
TD U.S. Equity Currency Neutral Portfolio  Sort 11.4 16.9 -1.8 15.5 31.5 -41.3 6.8
TD U.S. Large-Cap Value Currency Neutral  Sort 13.0 16.5 -2.6 12.7 20.8 -38.5 2.0
TD U.S. Large-Cap Value ($US)  Sort 12.7 16.3 - - - - -
TD U.S. Small-Cap Equity  Sort 13.8 15.5 2.5 25.9 19.8 -16.8 -17.0
TD U.S. Index Currency Neutral  Sort 12.6 15.4 0.3 12.6 22.3 -39.0 3.1
TD U.S. Blue Chip Equity  Sort 10.8 15.1 3.3 9.6 20.4 -28.6 -4.7
TD U.S. Equity Portfolio  Sort 12.3 14.2 2.3 11.2 14.7 -23.9 -8.4
TD U.S. Mid-Cap Growth ($US)  Sort 12.3 13.7 - - - - -
TD U.S. Large-Cap Value  Sort 14.1 13.7 0.9 8.2 5.2 -20.3 -12.8
TD U.S. Index  Sort 13.7 12.3 3.9 8.1 6.7 -21.8 -11.2
TD U.S. Mid-Cap Growth  Sort 13.6 11.2 0.9 21.9 24.3 -26.0 -0.4
TD Dow Jones Industrial Average SM Index  Sort 15.1 6.7 10.1 7.0 3.5 -15.8 -8.6
TD North American Dividend  Sort 12.6 6.2 10.4 7.2 7.2 -23.2 -
Global Equity
TD Asian Growth  Sort 1.7 20.1 -7.5 11.5 22.9 -38.0 21.9
TD Global Dividend - S  Sort 11.6 18.4 3.0 2.9 12.1 -26.9 -
TD International Index Currency Neutral  Sort 13.3 18.4 -12.7 4.0 19.5 -42.3 3.3
TD Emerging Markets  Sort 3.6 17.3 -16.2 12.4 43.0 -46.1 21.1
TD European Index  Sort 7.4 17.0 -9.0 -1.7 12.9 -31.8 -3.8
TD International Growth  Sort 9.5 16.2 -13.1 2.9 17.5 -36.1 -2.2
TD Global Dividend  Sort 11.6 16.2 2.8 3.1 12.2 -27.0 -8.5
TD International Index  Sort 10.5 15.5 -10.0 1.6 9.5 -28.0 -5.9
TD Global Growth  Sort 13.5 15.2 -9.2 4.9 17.0 -25.8 -10.1
TD Global Equity Portfolio  Sort 11.0 14.6 -4.8 4.3 13.7 -29.8 -
TD Global Value  Sort 9.6 13.3 -3.4 3.0 4.6 -27.8 -9.7
TD Global Multi-Cap  Sort 10.7 12.4 -10.3 5.5 20.9 -41.3 -0.7
TD International Value  Sort 8.1 11.3 -17.1 -1.8 12.2 -38.9 -13.1
TD Global Sustainability  Sort 7.0 10.2 -12.2 -4.9 12.0 -31.8 -
TD Latin American Growth  Sort 3.2 10.1 -19.3 11.0 71.4 -42.7 18.9
TD Global Low Volatility Fund  Sort 14.1 8.8 - - - - -
TD Japanese Growth  Sort 22.7 7.7 -9.7 6.0 -8.4 -8.9 -23.4
TD Japanese Index  Sort 21.1 6.5 -12.4 7.8 -11.3 -9.8 -19.4
Sector
TD Health Sciences  Sort 19.5 26.7 12.9 8.0 9.2 -8.4 -1.7
TD Entertainment & Communications  Sort 12.8 19.2 1.8 19.5 43.5 -33.5 3.0
TD Science & Technology  Sort 6.3 16.9 0.7 16.4 53.4 -29.9 -3.5
TD Energy  Sort 3.9 -0.9 -14.7 18.1 38.5 -40.9 6.2
TD Resource  Sort -9.5 -5.2 -21.1 28.1 52.7 -47.8 15.6
TD Precious Metals  Sort -29.7 -16.4 -27.8 46.5 63.2 -32.1 5.8
* Year To Date - performance based on most recent month-end data.
**** This is an annualized historical yield based on the seven day period ended on the date indicated and does not represent an actual one year return.
Effective February 20, 2007, for the F-Series units of the TD Canadian Money Market Fund, TD Asset Management Inc. (TDAM) agreed to charge a management fee at an annual rate of 0.19% and waive the balance of management fees otherwise payable (annual rate of 0.31% per annum). TDAM may, at its discretion and without notice to unitholders, cease to waive any of the management fees otherwise payable. As at February 19, 2007, the current annual yield was 3.78%. Had this waiver been in effect for the 7 days prior to February 19, 2007, the current annualized yield for the Fund would have been 4.11%.

To view the 2008 TD Mutual Funds Breakdown of Cumulative Distributions (F-, S-Series) click here.
To view the 2009 TD Mutual Funds Breakdown of Cumulative Distributions (F-, S-Series)click here.
To view the 2010 TD Mutual Funds Breakdown of Cumulative Distributions (F-, S-Series)click here.
To view the 2011 TD Mutual Funds Breakdown of Cumulative Distributions (F-, S-Series)click here.
To view the 2012 TD Mutual Funds Breakdown of Cumulative Distributions (F-, S-Series) click here.
To view the 2013 TD Mutual Funds Target Distributions (Advisor , T-, F-, S-Series) click here.
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 is an annualized historical yield based on the seven-day period ended as indicated and annualized in the case of effective yield by compounding the seven day return 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 are qualified for sale in the provinces and territories of Canada. This site does not constitute an offer or solicitation to residents of the US, the UK or Australia or anyone in any other jurisdiction in which such an offer or solicitation is not authorized or to any person to whom it is unlawful to make such a solicitation.
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