TD North American Sustainability Balanced Fund - FT5

Fund Code / Ticker Symbol
TDB2216
Price
as of Sep 18, 2024
$15.83

$-0.04  -0.25%

MER
as of Jun 30, 2024
0.83%
Assets
(Millions)
$ 55.72

Fund Overview

Risk Analysis

Fund Objectives

The fundamental investment objective is to seek to earn income with the potential for capital appreciation while following a socially responsible approach to investing. The Fund may invest primarily in, or gain exposure to, North American equity and fixed income securities.

Key Reasons To Own

  • Fund follows a socially responsible approach to investingDiversified investment solution designed to provide monthly cash flow and some Growth
  • Forward-looking asset allocation approach can potentially minimize volatility across markets while capturing yield opportunities
  • Multi-manager strategy combining the success and experience of TD Asset Management Inc.'s (TDAM) fundamental equity and fixed income teams in one solution

Key Facts

Portfolio Adviser
TD Asset Management Inc.
Category
Global Neutral Balanced
Benchmark
50.0% FTSE Canada Universe Bond Index, 37.5% S&P 500 Index, Net Dividend Total Return C$, 12.5% S&P/TSX Composite Index, Net Dividend Total Return
MER
0.83% MER as of June 30, 2024
Total Fund Assets (Millions)**
$55.72
Minimum Investment
$5000
Minimum Subsequent Investment
Minimum Pre-authorized Purchase Plan
10
Early Redemption Fee

Performance Overview

Historical Performance (%)

Performance as of Aug 31, 2024
Inception Date: Sep 15, 2020

Calendar Performance (%)

Performance as of Aug 31, 2024

Portfolio Analysis

Asset Mix


  • Sector Mix

    All sectors may not add up to 100% due to rounding.

    Fixed Income
    36.90%
    Technology
    17.20%
    Financial Services
    10.20%
    Healthcare
    7.00%
    Consumer Services
    5.20%
    Cash and Cash Equivalent
    5.10%
    Industrial Services
    4.00%
    Industrial Goods
    3.80%
    Consumer Goods
    2.60%
    Telecommunications
    2.40%
    Utilities
    2.00%
    Basic Materials
    1.80%
    Real Estate
    1.40%
    Other
    0.40%
  • Fund Geography

    All regions may not add up to 100% due to rounding.

    United States
    62.10%
    Canada
    28.50%
    European Union
    9.50%
  • Top Ten Holdings

    TD North American Sustainability Bond Fund, O-Series*
    39.6%
    Microsoft Corporation
    4.2%
    Cash (Bank Overdraft)
    3.6%
    Apple Inc.
    2.9%
    Royal Bank of Canada
    2.2%
    JPMorgan Chase & Company
    1.9%
    Novo Nordisk AS
    1.8%
    NVIDIA Corporation
    1.7%
    Alphabet Inc.
    1.7%
    Visa Inc.
    1.7%

Fund Documents and Resources

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Managers

Managing Director, Portfolio Manager
Managing Director, Portfolio Manager
VP & Director, Portfolio Research
VP, Portfolio Research
Managing Director, Lead of High Yield Fixed Income
VP, Active Fixed Income Portfolio Management

Ways to invest with us

  • Find an Advisor

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  • Over the Phone

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    1-800-386-3757 1-800-386-3757

Important Mutual Fund Information

NOTE: THIS TD Mutual Fund profile (the "Profile") IS NOT A REGULATORY FUND FACTS DOCUMENT AND IS FOR INFORMATIONAL PURPOSES ONLY. In contrast, Fund Facts are prescribed documents that are updated annually or more frequently as required (i.e., if there is an amendment, etc.). To access the Fund Facts, please download it from the Fund Documents and Resources section of the digital fund card page.

The performance and portfolio analysis information displayed in this Profile follow the same "Data as of Date".

The information contained in this Profile is based on information available as at the date indicated on the Profile page and does not necessarily reflect subsequent changes in market conditions. This information has been drawn from sources believed to be reliable.  Graphs and charts are used for illustrative purposes only and do not reflect future values or future performance of any investment. This Profile does not provide financial, legal, tax or investment advice. Particular investment, tax, or trading strategies should be evaluated relative to each individual objectives and risk tolerance. 

*TD Asset Management Inc. (TDAM) has closed the fund or series of the fund, denoted by an asterisk (*), to either all new purchases,  which indicates that unitholders that currently hold units of the fund or series of the fund may continue to do so but cannot purchase any additional units; or closed to purchases except by unitholders that currently hold units of the fund or series of the fund, i.e., closed to new investors. 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.

The Growth Data Table represents a hypothetical investment of the fund over the last 10 years, or from the last day of the since inception month for funds with less than 10 years of performance history.

The Top Ten Holdings may change due to ongoing portfolio transactions within the fund.

The MER percentage is based on actual expenses reported in the fund's most recent Semi-Annual or Annual Management Report of Fund Performance. expressed on an annualized basis.

Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the fund facts and prospectus, which contain 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.  Mutual fund strategies and current holdings are subject to change.

TD Mutual Funds Corporate Class funds are issued by TD Mutual Funds Corporate Class Ltd.

TD Mutual Funds and the TD Managed Assets Program portfolios are managed by TD Asset Management Inc., a wholly-owned subsidiary of The Toronto-Dominion Bank and are available through authorized dealers.

Epoch Investment Partners, Inc. operates in the United States and is an affiliate of TD Asset Management Inc. TD Asset Management Inc. operates in Canada. Both are wholly-owned subsidiaries of The Toronto-Dominion Bank.

TD Asset Management Inc. is a wholly-owned subsidiary of The Toronto-Dominion Bank.

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