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Showing 140 Results

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

TD Balanced Growth Fund - I
Fund Code: TDB970

43.59

0.16 (0.37%)

2.23

882.86

medium low

TD Balanced Index Fund - I
Fund Code: TDB965

19.13

0.05 (0.26%)

0.89

87.01

medium low

9.72

0.03 (0.31%)

2.25

488.21

medium low

34.81

0.12 (0.35%)

2.25

488.21

medium low

TD Dividend Income Fund - H8
Fund Code: TDB271

10.01

0.04 (0.40%)

2.00

4752.21

medium

TD Dividend Income Fund - I
Fund Code: TDB627

57.22

0.22 (0.39%)

2.03

4752.21

medium

15.94

0.05 (0.31%)

2.24

150.42

medium low

13.35

0.02 (0.15%)

1.69

614.48

medium low

8.67

-0.02 (-0.23%)

2.17

1827.91

medium low

12.37

0.03 (0.24%)

2.17

2489.16

medium low

11.88

0.02 (0.17%)

2.17

2489.16

medium low

TD Monthly Income Fund - H8
Fund Code: TDB398

11.20

0.04 (0.36%)

1.46

7759.04

medium low

TD Monthly Income Fund - I
Fund Code: TDB622

28.13

0.10 (0.36%)

1.48

7759.04

medium low

13.47

0.08 (0.60%)

2.11

60.13

medium low

13.20

0.08 (0.61%)

2.06

60.13

medium low

14.21

0.07 (0.49%)

2.01

13378.74

medium low

15.46

0.08 (0.52%)

2.05

13378.74

medium low

14.13

0.05 (0.36%)

1.99

2029.44

medium low

22.05

0.07 (0.32%)

2.03

2029.44

medium low

17.98

0.14 (0.78%)

2.03

2913.46

medium low

25.13

0.20 (0.80%)

2.05

2913.46

medium low

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

TD Canadian Equity Fund - I
Fund Code: TDB161

59.32

0.27 (0.46%)

2.17

7798.51

medium

TD Canadian Index Fund - I
Fund Code: TDB216

43.53

0.19 (0.44%)

0.66

2645.62

medium

5.60

0.01 (0.18%)

2.02

89.73

medium low

9.49

0.02 (0.21%)

2.03

89.73

medium low

51.10

-0.08 (-0.16%)

2.42

789.24

high medium

TD Dividend Growth Fund - H8
Fund Code: TDB298

11.12

0.05 (0.45%)

2.01

11542.84

medium

TD Dividend Growth Fund - I
Fund Code: TDB972

140.86

0.60 (0.43%)

2.03

11542.84

medium

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

TD Canadian Bond Fund - I
Fund Code: TDB162

12.43

0.03 (0.24%)

1.10

5811.59

low

10.24

0.03 (0.29%)

0.72

904.25

low

10.41

0.02 (0.19%)

1.34

22967.89

low

9.79

0.02 (0.20%)

1.37

3959.92

low

TD Fixed Income Pool - I
Fund Code: TDB2041

9.29

0.02 (0.22%)

1.08

15224.44

low

9.77

0.03 (0.31%)

1.45

305.46

medium low

8.58

0.03 (0.35%)

1.52

305.46

medium low

6.04

-0.03 (-0.49%)

1.43

5000.73

low

TD Global Income Fund - H5
Fund Code: TDB3336

10.54

0.01 (0.10%)

1.44

6809.74

low

TD Global Income Fund - I
Fund Code: TDB3330

8.28

0.00 (0.00%)

1.43

6809.74

low

6.00

-0.02 (-0.33%)

1.51

1714.53

medium

8.26

0.01 (0.12%)

1.58

2334.76

medium low

8.23

0.01 (0.12%)

1.51

2334.76

medium low

TD High Yield Bond Fund - H8
Fund Code: TDB2020

9.16

0.00 (0.00%)

1.67

1346.54

medium low

TD High Yield Bond Fund - I
Fund Code: TDB626

6.12

0.00 (0.00%)

1.65

1346.54

medium low

9.17

0.02 (0.22%)

1.66

1096.46

low

10.96

0.03 (0.27%)

1.65

1096.46

low

TD Short Term Bond Fund - I
Fund Code: TDB967

9.45

0.01 (0.11%)

1.10

2341.28

low

9.24

0.01 (0.11%)

1.35

1700.23

low

8.90

0.01 (0.11%)

0.60

162.28

low

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

18.26

-0.12 (-0.65%)

2.65

126.95

high

25.03

-0.05 (-0.20%)

2.65

172.88

high

17.39

-0.16 (-0.91%)

2.76

89.10

medium

TD Emerging Markets Fund - I
Fund Code: TDB638

23.83

-0.11 (-0.46%)

2.76

121.33

medium

TD European Index Fund - I
Fund Code: TDB659

15.76

0.01 (0.06%)

1.00

119.87

medium

31.55

0.27 (0.86%)

2.33

6463.10

medium

8.18

0.02 (0.25%)

1.84

48.28

medium

11.21

0.08 (0.72%)

1.84

65.74

medium

16.34

-0.03 (-0.18%)

2.29

3212.67

medium

19.59

0.05 (0.26%)

2.32

4374.85

medium

22.40

0.06 (0.27%)

2.29

4374.85

medium

10.75

0.00 (0.00%)

2.31

5237.82

medium low

23.06

-0.01 (-0.04%)

2.32

5237.82

medium low

7.58

0.05 (0.66%)

2.33

561.96

medium

17.04

0.11 (0.65%)

2.34

561.96

medium

12.90

-0.03 (-0.23%)

2.33

3308.05

medium

TD International Equity Fund-I
Fund Code: TDB2800

14.51

-0.03 (-0.21%)

2.36

1018.39

medium

11.13

-0.05 (-0.45%)

0.61

123.46

medium

18.96

-0.05 (-0.26%)

0.61

1366.99

medium

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

2.50

0.00 (0.00%)

0.39

6391.82

low

2.56

0.00 (0.00%)

0.33

2332.24

low

4.10

0.00 (0.00%)

0.39

2082.08

low

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

136.79

-0.82 (-0.60%)

2.72

1184.27

high medium

187.49

-0.26 (-0.14%)

2.72

1612.68

high medium

79.51

0.43 (0.54%)

2.72

921.60

high medium

TD Health Sciences Fund - I
Fund Code: TDB976

108.98

1.09 (1.01%)

2.72

1254.99

high medium

TD Precious Metals Fund - I
Fund Code: TDB648

88.33

1.14 (1.31%)

2.26

166.14

high

TD Resource Fund - I
Fund Code: TDB644

21.49

0.02 (0.09%)

2.21

115.62

high medium

120.90

0.03 (0.02%)

2.72

1088.12

high medium

165.71

0.80 (0.49%)

2.72

1481.74

high

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

28.61

0.13 (0.46%)

0.89

380.03

medium

39.21

0.35 (0.90%)

0.89

517.51

medium

TD Nasdaq® Index Fund - I
Fund Code: TDB981

45.44

0.10 (0.22%)

1.00

1017.99

high medium

39.76

0.18 (0.45%)

2.12

5694.69

medium low

19.70

0.18 (0.92%)

2.10

7754.74

medium low

54.50

0.50 (0.93%)

2.12

7754.74

medium low

12.56

0.06 (0.48%)

2.19

191.10

medium

17.48

0.16 (0.92%)

2.20

260.24

medium

17.21

0.15 (0.88%)

2.19

260.24

medium

48.98

0.37 (0.76%)

2.22

3565.46

high medium

13.71

0.17 (1.26%)

2.18

4855.27

high medium

67.13

0.81 (1.22%)

2.22

4855.27

high medium

47.87

0.36 (0.76%)

1.50

2890.84

medium

20.01

0.11 (0.55%)

2.12

8417.44

medium

22.63

0.23 (1.03%)

2.09

11462.44

medium

27.56

0.28 (1.02%)

2.10

11462.44

medium

14.44

0.05 (0.35%)

2.32

285.50

high medium

11.21

0.03 (0.27%)

2.32

-

medium

15.36

0.11 (0.72%)

2.32

2250.83

medium

TD U.S. Equity Pool (US$) - I
Fund Code: TDB2255

39.43

0.18 (0.46%)

2.15

1189.53

medium

TD U.S. Equity Pool - I
Fund Code: TDB962

54.04

0.49 (0.92%)

2.15

873.53

medium

38.87

0.16 (0.41%)

0.50

257.25

medium

TD U.S. Index Fund (US$) - I
Fund Code: TDB217

50.89

0.22 (0.43%)

0.50

3378.68

medium

TD U.S. Index Fund - I
Fund Code: TDB661

69.75

0.62 (0.90%)

0.50

4600.92

medium

18.46

0.06 (0.33%)

2.23

1431.76

medium

25.30

0.19 (0.76%)

2.23

1949.70

medium

17.77

0.04 (0.23%)

2.12

423.02

medium

13.49

0.09 (0.67%)

2.02

576.05

medium

24.36

0.17 (0.70%)

2.12

576.05

medium

11.30

0.06 (0.53%)

2.49

8.75

high medium

108.47

0.57 (0.53%)

2.45

2137.71

medium

148.67

1.45 (0.98%)

2.45

2911.02

medium

17.86

0.07 (0.39%)

2.24

157.47

medium

16.24

0.14 (0.87%)

2.25

214.43

medium

24.48

0.21 (0.87%)

2.24

214.43

medium

40.94

0.25 (0.61%)

2.44

299.33

high medium

56.11

0.59 (1.06%)

2.44

407.62

high medium

Fund Name

Nav $ / Yield %
Jul 25, 2025

Change $
Jul 25, 2025

MER %
Dec 31, 2024

Asset $ (Millions)
Jun 30, 2025

Risk

35.12

0.17 (0.49%)

2.23

2988.07

medium

23.16

0.09 (0.39%)

2.02

8647.63

medium low

15.80

0.05 (0.32%)

1.75

3404.56

medium low

20.20

0.06 (0.30%)

1.91

9500.14

medium low

11.42

0.03 (0.26%)

1.53

789.95

low

27.89

0.12 (0.43%)

2.13

5209.98

medium low

22.85

0.05 (0.22%)

2.84

41.50

medium

9.02

0.01 (0.11%)

2.73

88.64

medium low

16.62

0.03 (0.18%)

2.82

88.64

medium low

8.03

0.01 (0.12%)

2.63

70.51

medium low

13.39

0.02 (0.15%)

2.66

70.51

medium low

19.73

0.06 (0.30%)

2.28

1656.93

medium

10.23

0.02 (0.20%)

2.17

4560.50

medium low

18.46

0.04 (0.22%)

2.19

4560.50

medium low

9.82

0.01 (0.10%)

2.06

4728.71

medium low

16.16

0.02 (0.12%)

2.06

4728.71

medium low

9.09

0.01 (0.11%)

1.85

4331.23

medium low

12.65

0.01 (0.08%)

1.85

4331.23

medium low

26.30

0.09 (0.34%)

2.43

322.22

medium

11.20

0.02 (0.18%)

1.94

3995.37

low

19.28

0.03 (0.16%)

1.98

3995.37

low

11.04

0.02 (0.18%)

1.65

3671.55

low

18.90

0.02 (0.11%)

1.68

3671.55

low

12.73

0.01 (0.08%)

1.62

227.73

medium low

20.14

0.01 (0.05%)

1.69

227.73

medium low


Important Mutual Fund Information

This is an annualized historical yield based on the seven-day period ended on the date indicated and does not represent an actual one-year return.

*TD Asset Management Inc. (TDAM) has closed the fund or series of the fund, denoted by an asterisk (*), to all purchases. Unitholders that currently hold units of the fund or series of the fund may continue to do so but cannot purchase any additional units. 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.

TD Mutual Funds are qualified for sale in the provinces and territories of Canada. This site does not constitute an offer or solicitation to residents of the US or the UK or anyone in any other jurisdiction in which such an offer or solicitation is not authorized or to any person to whom it is unlawful to make such a solicitation.

A short-term trading fee of up to 2%, payable to the fund, may apply to all units of the TD Managed Assets Program and TD Mutual Funds (except money market funds). Please refer to the applicable Fund Facts documents for details.

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.

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