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Debt Information

 

The information in this section is a summary only and is qualified in its entirety by and should be read in conjunction with the more detailed information appearing in the prospectus or similar document related to the security.

TD Bank Subordinated Notes

Interest Rate Maturity Date Currency and Amount
(millions)
Interest Payment Frequency Redemption Date CUSIP/ ISIN Prospectus
9.15% May 26, 2025 C $200 semi-annual At any time1 891160EW9
2.692% June 24, 2025 C $1,500 semi-annual June 24, 20202 8911454X93
2.982% September 30, 2025 C$1,000 semi-annual September 30, 20204 8911455X83
4.859% March 4, 2031 C$1,250 semi-annual March 4, 20265 8911457R93
3.625% September 15, 2031 US$1,500 semi-annual September 15, 20266 891160MJ93
3.224% July 25, 2029 C$1,500 semi-annual July 25, 20247 891160QY23
 

Ratings

Credit Ratings