Company: TDBCP
Filing Date: 2025-05-30
Form Type: 424B2
Source: 0001140361-25-020964
Chunk: 13

Company: TORONTO DOMINION BANK
Filing Date: 2025-05-30
Form: 424B2
Chunk 13
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 Swiss Market Index®        | SMI       | 7.50%     |   12,324.78 |     0.00060853 |           7.50 |
| S&P/ASX 200 Index          | AS51      | 7.50%     |   8,407.562 |     0.00089205 |           7.50 |
| FTSE®China 50 Index        | XIN0I     | 5.00%     |   16,104.71 |     0.00031047 |           5.00 |
|                            |           |           |             | Starting Value |         100.00 |

| (1) | The actual closing level of each Basket Component and the resulting actual Component Ratios will be determined on the pricing date, subject to adjustment as more fully described in the section entitled “Description of the               
 Notes—Basket Market Measures—Determination of the Component Ratio for Each Basket Component” beginning on page PS-35 of product supplement EQUITY STR-1 if a Market Disruption Event occurs on the pricing date as to any Basket Component. |

| (2) | These were the closing levels of the Basket Components on May 27, 2025. |

| (3) | Each hypothetical Component Ratio equals the Initial Component Weight of the relevant Basket Component (as a percentage) multiplied by 100.00, and then divided by the closing level of that Basket Component on May 27, 2025 and rounded 
 to eight decimal places.                                                                                                                                                                                                                  |

The calculation agents will calculate the value of the Basket on each Observation Date by summing the products of the closing level for each Basket Component on such calculation day and the Component Ratio applicable to such Basket Component. If a Market Disruption Event occurs as to any Basket Component on any scheduled Observation Date, the closing level of that Basket Component will be determined as more fully described beginning on page PS-37 of product supplement EQUITY STR-1 in the section “Description of the Notes—Basket Market Measures—Observation Level and Ending Value of the Basket”.

| Autocallable Strategic Accelerated Redemption Securities® | TS-10 |

| Autocallable Strategic Accelerated Redemption Securities®Linked to an International Equity Index Basket due June  , 2028 |

While actual historical information on the Basket will not exist before the pricing date, the following graph sets forth the hypothetical historical performance of the Basket from January 1, 201