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Our Funds
The TD Exchange-Traded Funds were terminated on March 13, 2006. Please refer to the table below for the March 10, 2006 final Net Asset Value Per Unit (NAVPU) and final Distribution for each of the Funds.

For additional information please contact TD Asset Management Inc. at 1-800-588-8054.

Prices as of Mar. 10, 2006
Fund Name NAVPU ($) Last Distribution Distribution Date
TD S&P/TSX Composite Index Fund 39.5930 0.229220 3/10/2006
TD S&P/TSX Capped Composite Index Fund 45.8942 0.266517 3/10/2006
TD Select Canadian Growth Index Fund 10.9366 0.017108 3/10/2006
TD Select Canadian Value Index Fund 27.6621 0.187430 3/10/2006
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