To understand how the TSP calculates rates of return for any given period of time and determines compound annual returns, read the Fact Sheet Calculating Periodic Returns and Compound Annual Returns.

Date L IncomeL 2020L 2030L 2040L 2050G FundF FundC FundS FundI Fund
Aug 21, 2017 19.0539 25.8081 28.8592 31.1232 17.8689 15.4133 18.0618 33.9255 42.9622 28.6598
Aug 18, 2017 19.0472 25.7960 28.8414 31.1020 17.8559 15.4104 18.0480 33.8853 42.9619 28.6429
Aug 17, 2017 19.0483 25.8000 28.8497 31.1128 17.8631 15.4095 18.0474 33.9465 43.0111 28.5811
Aug 16, 2017 19.0957 25.9254 29.0818 31.4089 18.0573 15.4085 18.0245 34.4772 43.7440 28.7765
Aug 15, 2017 19.0827 25.8961 29.0316 31.3459 18.0169 15.4076 17.9868 34.4186 43.6387 28.6578
Aug 14, 2017 19.0909 25.9161 29.0677 31.3925 18.0475 15.4066 18.0225 34.4277 43.8753 28.7388
Aug 11, 2017 19.0560 25.8296 28.9118 31.1948 17.9182 15.4038 18.0338 34.0837 43.3365 28.6214
Aug 10, 2017 19.0494 25.8147 28.8862 31.1625 17.8973 15.4028 18.0204 34.0381 43.2192 28.6043
Aug 09, 2017 19.0988 25.9447 29.1267 31.4697 18.0990 15.4019 18.0080 34.5256 43.9537 28.9080
Aug 08, 2017 19.1058 25.9670 29.1720 31.5295 18.1398 15.4009 17.9742 34.5340 44.2411 29.0615
Aug 07, 2017 19.1164 25.9939 29.2210 31.5919 18.1804 15.4000 17.9989 34.6133 44.3847 29.1434
Aug 04, 2017 19.1055 25.9708 29.1825 31.5443 18.1500 15.3971 17.9891 34.5552 44.3499 29.0524
Aug 03, 2017 19.1051 25.9683 29.1763 31.5356 18.1434 15.3962 18.0256 34.4901 44.1624 29.1658
Aug 02, 2017 19.1060 25.9742 29.1903 31.5544 18.1565 15.3952 17.9954 34.5586 44.2848 29.1140
Aug 01, 2017 19.1083 25.9816 29.2059 31.5761 18.1719 15.3943 18.0010 34.5350 44.6178 29.1211
Jul 31, 2017 19.0888 25.9356 29.1255 31.4751 18.1068 15.3933 17.9584 34.4508 44.5242 28.8791
Jul 28, 2017 19.0856 25.9316 29.1215 31.4711 18.1048 15.3905 17.9590 34.4758 44.6047 28.8016
Jul 27, 2017 19.0898 25.9457 29.1502 31.5086 18.1300 15.3895 17.9345 34.5206 44.6969 28.8719
Jul 26, 2017 19.0969 25.9642 29.1845 31.5532 18.1595 15.3886 17.9546 34.5506 44.9410 28.9203
Jul 25, 2017 19.0868 25.9427 29.1497 31.5109 18.1336 15.3876 17.9120 34.5408 45.1402 28.7109
Jul 24, 2017 19.0771 25.9139 29.0931 31.4374 18.0838 15.3867 17.9786 34.4405 44.8554 28.6243
Jul 21, 2017 19.0811 25.9270 29.1187 31.4699 18.1046 15.3838 17.9962 34.4762 44.7601 28.7375
Jul 20, 2017 19.0864 25.9446 29.1544 31.5167 18.1364 15.3829 17.9645 34.4890 44.8795 28.8879
Jul 19, 2017 19.0784 25.9258 29.1216 31.4754 18.1097 15.3819 17.9576 34.4920 44.8897 28.7127
Jul 18, 2017 19.0579 25.8740 29.0274 31.3552 18.0307 15.3810 17.9551 34.3046 44.4804 28.6377
Jul 17, 2017 19.0535 25.8674 29.0194 31.3466 18.0264 15.3800 17.9137 34.2836 44.5609 28.6257

The L 2010 Fund was retired on December 31, 2010. To view the share price history of this fund from August 1, 2005 through December 31, 2010, visit the Retired Funds page.