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Investor Relations
Debt Information
Canadian Structured Medium Term Notes Program
Program allowing TD to issue senior medium term notes (the "Notes") which may be linked to the price, value or level of one or more indices, equities, debt instruments, commodities, investment funds or portfolios, statistical measures of economic or financial performance, foreign exchange rates, interest rates and/or other items, and which may be issued in one or more tranches of one or more series. The payment obligations under the Notes constitute unsecured and unsubordinated obligations of TD and will rank pari passu in right of payment with all of TD's present and future unsecured and unsubordinated indebtedness of TD.
For further information on these Notes, please click here to be re-directed to TD Securities' website.
Alternate format documents: Customers can request documents in a variety of alternate formats including Braille, large print, e-text, accessible PDFs or audio CDs. To request this service, call 1-800-831-1158 or visit your nearest branch.