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
Nov 15, 2019 20.9871 28.9898 34.0838 37.4371 21.8305 16.3132 19.6451 45.5405 54.1439 31.7107
Nov 14, 2019 20.9535 28.9338 33.9303 37.2366 21.6976 16.3124 19.6589 45.1851 53.8048 31.4685
Nov 13, 2019 20.9539 28.9356 33.9439 37.2553 21.7107 16.3116 19.6067 45.1360 53.7335 31.6263
Nov 12, 2019 20.9561 28.9401 33.9629 37.2814 21.7288 16.3109 19.5723 45.1024 53.8032 31.7490
Nov 08, 2019 20.9483 28.9287 33.9437 37.2578 21.7139 16.3078 19.5404 45.1181 53.7769 31.6804
Nov 07, 2019 20.9429 28.9199 33.9207 37.2277 21.6938 16.3070 19.5441 44.9951 53.5576 31.7578
Nov 06, 2019 20.9372 28.9091 33.8805 37.1742 21.6574 16.3062 19.6450 44.8516 53.4088 31.7103
Nov 05, 2019 20.9317 28.9010 33.8680 37.1598 21.6494 16.3055 19.5917 44.8168 53.6388 31.6656
Nov 04, 2019 20.9390 28.9123 33.8915 37.1898 21.6684 16.3047 19.6675 44.8698 53.6540 31.6741
Nov 01, 2019 20.9207 28.8819 33.8087 37.0818 21.5968 16.3024 19.7143 44.7036 53.4606 31.5070
Oct 31, 2019 20.8823 28.8176 33.6301 36.8473 21.4403 16.3016 19.7428 44.2721 52.6999 31.3289
Oct 30, 2019 20.8844 28.8232 33.6611 36.8904 21.4708 16.3009 19.6386 44.4036 53.0616 31.3021
Oct 29, 2019 20.8726 28.8043 33.6164 36.8333 21.4340 16.3001 19.6032 44.2560 53.0585 31.2770
Oct 28, 2019 20.8670 28.7956 33.5967 36.8078 21.4172 16.2994 19.5833 44.2923 53.0199 31.1748
Oct 25, 2019 20.8487 28.7653 33.5153 36.7018 21.3468 16.2970 19.6212 44.0465 52.6753 31.1385
Oct 24, 2019 20.8349 28.7421 33.4500 36.6159 21.2894 16.2963 19.6504 43.8668 52.3451 31.1015
Oct 23, 2019 20.8198 28.7172 33.3833 36.5287 21.2313 16.2955 19.6528 43.7834 52.1167 30.9496
Oct 22, 2019 20.8106 28.7022 33.3453 36.4798 21.1993 16.2948 19.6477 43.6574 52.0320 30.9368
Oct 21, 2019 20.8178 28.7149 33.3853 36.5326 21.2347 16.2940 19.6189 43.8126 52.2201 30.9252
Oct 18, 2019 20.7889 28.6671 33.2571 36.3658 21.1242 16.2917 19.6516 43.5124 51.8353 30.7516
Oct 17, 2019 20.8007 28.6872 33.3155 36.4426 21.1754 16.2909 19.6383 43.6824 52.0685 30.7868
Oct 16, 2019 20.7846 28.6605 33.2423 36.3462 21.1108 16.2902 19.6489 43.5590 51.6516 30.6891
Oct 15, 2019 20.7849 28.6615 33.2501 36.3573 21.1187 16.2894 19.6281 43.6435 51.8487 30.6024
Oct 11, 2019 20.7465 28.5988 33.0885 36.1484 20.9816 16.2863 19.6331 43.2731 51.4863 30.3720
Oct 10, 2019 20.6872 28.4992 32.8128 35.7883 20.7424 16.2855 19.7028 42.8012 50.6700 29.8238
Oct 09, 2019 20.6655 28.4625 32.7089 35.6532 20.6533 16.2848 19.7670 42.5271 50.4886 29.6680

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.