Company: TDBCP
Filing Date: 2025-02-26
Form Type: 424B3
Source: 0001140361-25-006064
Chunk: 24

Company: TORONTO DOMINION BANK
Filing Date: 2025-02-26
Form: 424B3
Chunk 24
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 Level. Unless otherwise specified in the applicable pricing supplement, the Final Level of an index on any Valuation Date will be its closing level on that date. Closing Level Unless otherwise specified in the applicable pricing supplement, the “Closing Level” of any Reference Asset on any trading day means:

| • | the closing level of such Reference Asset; or |

| • | if any Reference Asset is unavailable, any successor index or alternative calculation of such Reference Asset, |

published following the regular official weekday close of the principal trading session of the primary exchange for its Reference Asset Constituents, each as determined by the Calculation Agent. Valuation Date(s) Unless otherwise specified in the applicable pricing supplement, the Valuation Date(s) (including the Final Valuation Date, if applicable) will be the date(s) specified in the applicable pricing supplement, unless the Calculation Agent determines that a market disruption event has occurred or is continuing on any such day with respect to a Reference Asset, in which case the affected date for such Reference Asset will be postponed as described under “— Market Disruption Events” below. Unless otherwise specified in the applicable pricing supplement, if a Valuation Date specified in the applicable pricing supplement occurs on a day that is not a trading day:

| • | for notes with a single Valuation Date, such Valuation Date will be the next following trading day, or |

| • | for notes with more than one Valuation Date, such Valuation Date will be the next following “valid date”, as described under “— Market Disruption Events” below. |

Maturity Date The Maturity Date will be the date specified in the applicable pricing supplement, unless that date is not a Business Day, in which case the Maturity Date will be the next following Business Day. If the Calculation Agent postpones the determination of the closing level on one or more Valuation Dates and therefore postpones the PS-21 determination of the Final Level, the Calculation Agent will also adjust the Maturity Date to maintain the same number of Business Days between the last Valuation Date, as postponed, and the Maturity Date as originally existed. No Interest Unless specified otherwise in the applicable pricing supplement, the notes will not pay any interest. Unavailability of the Level of, or Change in Law Event Affecting, the Reference Asset; Modification to Method of Calculation If the index sponsor discontinues publication of a Reference Asset or a change in law event (as defined below) occurs and the index sponsor or another entity publishes a successor or substitute index that the Calculation Agent determines