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
Mar 29, 2017 18.7265 25.1879 27.9399 30.0216 17.1835 15.2742 17.6206 32.7240 42.5739 26.5218
Mar 28, 2017 18.7225 25.1813 27.9311 30.0108 17.1771 15.2732 17.5852 32.6816 42.4109 26.6125
Mar 27, 2017 18.6958 25.1062 27.8029 29.8492 17.0714 15.2722 17.6211 32.4465 42.0909 26.4025
Mar 24, 2017 18.6930 25.1054 27.8051 29.8529 17.0744 15.2692 17.5973 32.4800 42.0464 26.3989
Mar 23, 2017 18.6892 25.0981 27.7942 29.8396 17.0661 15.2682 17.5788 32.5066 42.0157 26.3273
Mar 22, 2017 18.6847 25.0854 27.7720 29.8109 17.0466 15.2672 17.5956 32.5407 41.8781 26.2056
Mar 21, 2017 18.6792 25.0752 27.7578 29.7942 17.0368 15.2662 17.5596 32.4787 41.8559 26.2516
Mar 20, 2017 18.7202 25.1942 27.9646 30.0577 17.2106 15.2652 17.5211 32.8836 42.8203 26.4134
Mar 17, 2017 18.7220 25.2070 27.9910 30.0931 17.2350 15.2622 17.4910 32.9489 43.0302 26.4075
Mar 16, 2017 18.7199 25.2043 27.9878 30.0890 17.2325 15.2612 17.4708 32.9922 42.9392 26.3704
Mar 15, 2017 18.7144 25.1896 27.9628 30.0571 17.2113 15.2602 17.4808 33.0444 42.8850 26.1872
Mar 14, 2017 18.6699 25.0767 27.7763 29.8235 17.0610 15.2593 17.3865 32.7692 42.3182 25.8849
Mar 13, 2017 18.6824 25.1137 27.8405 29.9051 17.1145 15.2583 17.3775 32.8788 42.5154 25.9907
Mar 10, 2017 18.6727 25.0895 27.8007 29.8550 17.0815 15.2553 17.4011 32.8556 42.3776 25.8687
Mar 09, 2017 18.6515 25.0342 27.7087 29.7398 17.0070 15.2543 17.3853 32.7483 42.2095 25.6321
Mar 08, 2017 18.6526 25.0346 27.7083 29.7396 17.0065 15.2533 17.4358 32.7217 42.3596 25.6001
Mar 07, 2017 18.6654 25.0679 27.7638 29.8095 17.0515 15.2523 17.4805 32.7867 42.5768 25.6942
Mar 06, 2017 18.6779 25.1021 27.8223 29.8837 17.0998 15.2513 17.5012 32.8805 42.8320 25.7624
Mar 03, 2017 18.6848 25.1268 27.8675 29.9422 17.1387 15.2483 17.4969 32.9875 43.1027 25.7591
Mar 02, 2017 18.6828 25.1234 27.8630 29.9369 17.1355 15.2473 17.4911 32.9703 43.0718 25.7765
Mar 01, 2017 18.7021 25.1760 27.9525 30.0504 17.2095 15.2463 17.5185 33.1616 43.5534 25.7840
Feb 28, 2017 18.6659 25.0694 27.7675 29.8160 17.0551 15.2453 17.6125 32.7087 42.9054 25.6781
Feb 27, 2017 18.6734 25.0931 27.8106 29.8725 17.0933 15.2443 17.6028 32.7920 43.3981 25.6259
Feb 24, 2017 18.6675 25.0776 27.7837 29.8376 17.0692 15.2414 17.6459 32.7539 43.0714 25.6378
Feb 23, 2017 18.6669 25.0833 27.7977 29.8568 17.0833 15.2404 17.5816 32.6974 43.0250 25.8345
Feb 22, 2017 18.6605 25.0707 27.7800 29.8366 17.0719 15.2394 17.5464 32.6799 43.2654 25.7181

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.