TD Canada Banks 5% AR Index-Linked 2% Coupon Plus Growth Notes, Series 750

Fixed Coupon Active
View on TD Securities

Identification

Fundserv Code
TDN8834
CUSIP
89116WKT9
Issuer
TD Securities
Currency
CAD
Product Type
PPN
A/F Class
A

Structure & Return

Structure
Fixed Coupon
Investment Objective
Income
Coupon Rate
2%
Pay Frequency
Semi Annual
Upside Participation
36.50%
Coupon Schedule
PeriodsRate
1–101%

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
5y
Issue Date
09-Jul-26
Maturity Date
09-Jul-31
Avail. Until
08-Jul-26
Sales Commission
2.50%

Early Trading Fee

PeriodFee
Days 0–903.95%
Days 91–1803.00%
Days 181–2702.00%
Days 271–3601.00%

Documents

Payoff at Maturity

Principal Protected-60%-40%-20%+0%+20%+40%+60%Underlier Return-0%+10%Note ReturnNote ReturnUnderliernotehub.ca
ScenarioConditionYou Receive
BestUnderlier does not breach downside level (0%)Principal + all coupon payments (10.0%)
BaseUnderlier is below initial level at maturityPrincipal + coupons
WorstUnderlier is below initial level at maturityPrincipal 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.

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