TD U.S. Dividend Growth Fund-F (USD) (TDB3435)
13.03
-0.09 (-0.69%)
USD |
May 19 2022
TDB3435 Net Asset Value: 13.03 for May 19, 2022
Net Asset Value Chart
Historical Net Asset Value Data
Date | Value |
---|---|
May 19, 2022 | 13.03 |
May 18, 2022 | 13.12 |
May 17, 2022 | 13.63 |
May 16, 2022 | 13.38 |
May 13, 2022 | 13.39 |
May 12, 2022 | 13.09 |
May 11, 2022 | 13.14 |
May 10, 2022 | 13.31 |
May 09, 2022 | 13.29 |
May 06, 2022 | 13.76 |
May 05, 2022 | 13.81 |
May 04, 2022 | 14.30 |
May 03, 2022 | 13.89 |
May 02, 2022 | 13.86 |
April 29, 2022 | 13.82 |
April 28, 2022 | 14.28 |
April 27, 2022 | 13.96 |
April 26, 2022 | 13.85 |
April 25, 2022 | 14.22 |
April 22, 2022 | 14.14 |
April 21, 2022 | 14.57 |
April 20, 2022 | 14.85 |
April 19, 2022 | 14.75 |
April 18, 2022 | 14.56 |
April 14, 2022 | 14.55 |
Date | Value |
---|---|
April 13, 2022 | 14.71 |
April 12, 2022 | 14.55 |
April 11, 2022 | 14.59 |
April 08, 2022 | 14.88 |
April 07, 2022 | 14.91 |
April 06, 2022 | 14.83 |
April 05, 2022 | 14.96 |
April 04, 2022 | 15.13 |
April 01, 2022 | 15.06 |
March 31, 2022 | 15.02 |
March 30, 2022 | 15.27 |
March 29, 2022 | 15.32 |
March 28, 2022 | 15.17 |
March 25, 2022 | 15.11 |
March 24, 2022 | 15.05 |
March 23, 2022 | 14.85 |
March 22, 2022 | 15.01 |
March 21, 2022 | 14.92 |
March 18, 2022 | 14.92 |
March 17, 2022 | 14.75 |
March 16, 2022 | 14.58 |
March 15, 2022 | 14.28 |
March 14, 2022 | 14.01 |
March 11, 2022 | 14.13 |
March 10, 2022 | 14.28 |
Net Asset Value (NAV) Definition
Net Asset Value measures the total value of a security based on assets divided by shares outstanding. This metric is calculated by (Total Assets - Total Liabilities) / Shares Outstanding.
Net Asset Value Range, Past 5 Years
7.63
Minimum
Mar 23 2020
15.85
Maximum
Dec 29 2021
11.03
Average
10.13
Median
Jul 24 2019
Net Asset Value Benchmarks
CIBC US Index Premium | 43.17 |
RBC U.S. Equity Fund A | 34.72 |
PH&N U.S. Equity Fund D | 100.24 |
TD US Index I (USD) | 30.54 |
TD Dow Jones Industrial Avg Index - e | 27.01 |