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Mutual Fund
Fund Code / Ticker Symbol
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Price
as of {{$ctrl.fundCard.fundData.navPriceDate | date:'MMM d, yyyy'}}
Yield
as of {{$ctrl.fundCard.fundData.navPriceDate | date:'MMM d, yyyy'}}
${{$ctrl.fundCard.fundData.formattedNav}}%$
$+{{$ctrl.fundCard.fundData.formattedyeildAbsolute}}$+{{$ctrl.fundCard.fundData.formattedyeildPercentage}}%
MER
as of {{$ctrl.fundCard.fundData.merDate}}
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Assets
(Millions)
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MER is the total of the fund's management fee (which includes the trailing commission), operating costs and any other expenses. Learn more
This figure represents the fund's total asset base, net of fees and expenses.
Fund Overview
Risk Analysis
Fund Objectives
Key Reasons To Own
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Key Facts
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Category | {{$ctrl.fundCard.fundCategory}} |
Benchmark | {{$ctrl.fundCard.fundData.benchmark}} |
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Total Fund Assets (Millions)** | ${{$ctrl.fundCard.fundData.totalAssets}}$ |
Minimum Investment | {{$ctrl.fundCard.fundData.minimumInvestment}} |
Minimum Subsequent Investment | {{$ctrl.fundCard.fundData.minimumSubsequentInves}} |
Minimum Pre-authorized Purchase Plan | {{$ctrl.fundCard.fundData.minimumPPP}} |
Early Redemption Fee | {{$ctrl.fundCard.fundData.earlyRedemptionFee}} |
Performance Overview
Growth of 10k Chart : Line Graph displaying the Growth of $10k
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Historical Performance (%)
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Inception Date: {{$ctrl.fundCard.histInceptionDate | date:'MMM d, yyyy'}}
Calendar Performance (%)
Performance as of {{$ctrl.fundCard.histPerfDate | date:'MMM d, yyyy'}}
Portfolio Analysis
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Sector Mix
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Fund Geography
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Top Ten Holdings
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See Full List of Holdings
Fund documents and Resources
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Portfolio Managers
TD Asset Management
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Fund CodesFund Code / Ticker Symbol
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Price
Yield
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${{$ctrl.fundCard.fundData.formattedNav}}${{$ctrl.fundCard.fundData.formattedNav}}%
$ +{{$ctrl.fundCard.fundData.formattedyeildAbsolute}}$ +{{$ctrl.fundCard.fundData.formattedyeildPercentage}}%
MER
as of{{$ctrl.fundCard.fundData.merDate}}
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Assets(Millions)
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Risk Analysis
Fund Overview
Key Facts
Portfolio Adviser
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Category
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Benchmark
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MER
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Total Fund Assets (Millions)**
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Minimum Investment
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Minimum Subsequent Investment
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Minimum Pre-authorized Purchase Plan
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Early Redemption Fee
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Fund Overview
Key Facts
Portfolio Adviser
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Category
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Benchmark
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MER
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Total Fund Assets (Millions)**
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Minimum Investment
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Minimum Subsequent Investment
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Minimum Pre-authorized Purchase Plan
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Early Redemption Fee
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Performance Overview
Historical Performance (%)
Performance as of{{$ctrl.fundCard.histPerfDate | date:'MMM d, yyyy'}}
Inception Date:{{$ctrl.fundCard.histInceptionDate | date:'MMM d, yyyy'}}
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Calendar Performance (%)
Performance as of{{$ctrl.fundCard.histPerfDate | date:'MMM d, yyyy'}}
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Fund Objectives
Key Reasons To Own
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Portfolio Analysis
Asset Mix
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Fund Geography
All regions may not add up to 100% due to rounding.
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Sector Mix
All sectors may not add up to 100% due to rounding.
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Top Ten Holdings
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Portfolio Managers
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Important Mutual Fund Information
NOTE: THIS DOCUMENT IS NOT A REGULATORY FUND FACTS DOCUMENT AND IS FOR INFORMATION PURPOSES ONLY. Performance and Portfolio Analysis information displayed within this document follow the same "Data as of Date". In contrast, Fund Facts are prescribed documents updated annually or more frequently as required (i.e., if there is an amendment). To access the Fund Facts, please download it from the Fund Documents and Resources section of the digital fund card page. *TD Asset Management Inc. (TDAM) has closed the fund or series of the fund, denoted by an asterisk (*), to all purchases. Unitholders that currently hold units of the fund or series of the fund may continue to do so but cannot purchase any additional units. For more information, please refer to the applicable Fund Facts document. Effective on or about November 1, 2019, the Deferred Sales Charge (Back-load) (DSC), low-load (LSC) and low-load-2 (LSC2) purchase options of Advisor Series, T5 Series and T8 Series securities of TD Mutual Funds and TD Managed Assets Program portfolios will be closed to all purchases by investors, including purchases made through Pre-Authorized Contribution Plans. Existing unitholders may still hold or redeem their securities of the Capped Funds and/or back-end load options of impacted funds. Existing unitholders may also switch into a different fund of the same deferred sales charge option. Effective July 29, 2020, the TD International Growth Class was renamed to TD International Stock Class. Effective July 29, 2020, TD U.S. Equity Portfolio was renamed to TD U.S. Equity Pool. 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 or the UK 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. The portfolio manager of record for the classes of TD Mutual Funds Corporate Class Ltd. is Dino Vevaina. Each class invests in one or more underlying mutual funds, as noted in the TD Mutual Funds Simplified Prospectus. For more information about the portfolio manager(s) of the underlying fund(s), please see the webpage or annual information form of the underlying fund(s). Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the fund facts and 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 unit holder 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.
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Important Mutual Fund Information
NOTE: THIS DOCUMENT IS NOT A REGULATORY FUND FACTS DOCUMENT AND IS FOR INFORMATION PURPOSES ONLY. Performance and Portfolio Analysis information displayed within this document follow the same "Data as of Date". In contrast, Fund Facts are prescribed documents updated annually or more frequently as required (i.e., if there is an amendment). To access the Fund Facts, please download it from the Fund Documents and Resources section of the digital fund card page.
*TD Asset Management Inc. (TDAM) has closed the fund or series of the fund, denoted by an asterisk (*), to all purchases. Unitholders that currently hold units of the fund or series of the fund may continue to do so but cannot purchase any additional units. For more information, please refer to the applicable Fund Facts document.
Effective on or about November 1, 2019, the Deferred Sales Charge (Back-load) (DSC), low-load (LSC) and low-load-2 (LSC2) purchase options of Advisor Series, T5 Series and T8 Series securities of TD Mutual Funds and TD Managed Assets Program portfolios will be closed to all purchases by investors, including purchases made through Pre-Authorized Contribution Plans. Existing unitholders may still hold or redeem their securities of the Capped Funds and/or back-end load options of impacted funds. Existing unitholders may also switch into a different fund of the same deferred sales charge option.
Effective July 29, 2020, the TD International Growth Class was renamed to TD International Stock Class. Effective July 29, 2020, TD U.S. Equity Portfolio was renamed to TD U.S. Equity Pool.
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 or the UK 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.
TD Mutual Funds Corporate Class funds are issued by TD Mutual Funds Corporate Class Ltd.
Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the fund facts and 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 unit holder 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.
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As a seasoned financial expert with extensive knowledge in mutual funds, I can provide a comprehensive understanding of the concepts and information presented in the provided article. My expertise is grounded in years of experience and a deep understanding of the financial industry. Let's delve into the key concepts mentioned in the article:
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Fund Code / Ticker Symbol:
- This alphanumeric code uniquely identifies a mutual fund and is commonly used for trading purposes.
- It allows investors to quickly identify and trade the specific fund in the market.
-
Price and Yield:
- The price, represented as the Net Asset Value (NAV), indicates the per-unit value of the mutual fund.
- Yield represents the income generated by the fund, expressed as a percentage of the NAV.
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Management Expense Ratio (MER):
- MER is a critical metric that reflects the total cost of managing the fund, including management fees, operating expenses, and other charges.
- It is expressed as a percentage of the fund's average net assets.
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Total Fund Assets:
- This figure represents the total value of assets held by the mutual fund, providing insights into the fund's size and scale.
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Fund Overview:
- Provides a high-level summary of the mutual fund, including its key features, objectives, and investment strategy.
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Risk Analysis:
- Offers an evaluation of the fund's risk profile, helping investors understand the potential volatility and downside associated with the investment.
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Key Reasons to Own:
- Outlines the primary factors that make the fund attractive to investors, such as historical performance, investment strategy, or specific market opportunities.
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Key Facts:
- Includes essential information such as the portfolio adviser, fund category, benchmark, MER, and total fund assets.
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Portfolio Analysis:
- Breaks down the fund's holdings, asset mix, sector mix, and geographic distribution.
- Top ten holdings provide insights into the fund's most significant investments.
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Performance Overview:
- Displays the historical performance of the fund, including growth charts and calendar performance.
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Fund Objectives:
- Highlights the main goals and objectives of the mutual fund, explaining what the fund aims to achieve.
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Portfolio Managers:
- Introduces the individuals responsible for managing the fund, providing their credentials and roles.
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Important Mutual Fund Information:
- Contains crucial disclaimers, regulatory information, and updates about fund closures or changes.
This comprehensive analysis ensures that investors have access to all the necessary information to make informed decisions about the mutual fund in question. Keep in mind that the financial landscape is dynamic, and regular reviews of fund performance and information are advisable for prudent investment management.