Identification
- Fundserv Code
- TDN8830
- CUSIP
- 89116WKJ1
- Issuer
- TD Securities
- Currency
- CAD
- Product Type
- PPN
- A/F Class
- A
Structure & Return
- Structure
- Growth
- Investment Objective
- Growth
- Upside Participation
- 160%
Downside Protection
- Downside Type
- Principal Protected
- Downside Level
- 0%
Underlier
- Name
- Solactive Equal Weight Canada Banks 5% AR Index
- Sector
- Financial
- Geography
- Canada
Dates & Fees
- Term
- 7.0y
- Issue Date
- 06-Jul-26
- Maturity Date
- 12-Jul-33
- Avail. Until
- 03-Jul-26
- Sales Commission
- 3.50%
Early Trading Fee
| Period | Fee |
|---|---|
| Days 0–90 | 4.95% |
| Days 91–180 | 3.75% |
| Days 181–270 | 2.55% |
| Days 271–360 | 1.35% |
Documents
Payoff at Maturity
| Scenario | Condition | You Receive |
|---|---|---|
| Best | Underlier is positive at maturity | Principal + 160% of underlier gain |
| Base | Underlier is below initial level at maturity | Principal returned (at par) |
| Worst | Underlier is below initial level at maturity | Principal returned in full (principal protected) |
For illustrative purposes only. These scenarios are hypothetical and do not represent actual or expected performance. The information presented is derived from publicly available data and may contain errors or omissions. Investors should review the official pricing supplement and offering documentation before making any investment decisions.