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
Sep 19, 2019 20.7736 28.6604 33.2911 36.4251 21.1714 16.2700 19.5825 43.7568 52.7894 30.5568
Sep 18, 2019 20.7651 28.6463 33.2598 36.3852 21.1457 16.2693 19.5554 43.7534 52.8848 30.4176
Sep 17, 2019 20.7656 28.6482 33.2710 36.4016 21.1578 16.2686 19.5238 43.7382 53.1156 30.4462
Sep 16, 2019 20.7539 28.6285 33.2247 36.3422 21.1192 16.2679 19.4998 43.6257 53.1220 30.3706
Sep 13, 2019 20.7661 28.6523 33.2976 36.4376 21.1823 16.2657 19.4364 43.7613 52.8795 30.6469
Sep 12, 2019 20.7620 28.6432 33.2636 36.3921 21.1512 16.2650 19.5415 43.7814 52.9203 30.4182
Sep 11, 2019 20.7502 28.6217 33.2042 36.3149 21.1000 16.2643 19.5931 43.6489 52.9062 30.2738
Sep 10, 2019 20.7162 28.5615 33.0466 36.1080 20.9620 16.2636 19.6110 43.3332 52.1463 30.0825
Sep 09, 2019 20.7163 28.5600 33.0332 36.0886 20.9474 16.2629 19.7018 43.3179 51.8695 30.0620
Sep 06, 2019 20.7160 28.5589 33.0274 36.0804 20.9411 16.2607 19.7677 43.3186 51.7009 30.0494
Sep 05, 2019 20.7055 28.5414 32.9881 36.0306 20.9092 16.2600 19.7374 43.2772 51.8166 29.9116
Sep 04, 2019 20.6596 28.4587 32.7649 35.7390 20.7155 16.2593 19.8462 42.7119 51.0723 29.6495
Sep 03, 2019 20.6115 28.3745 32.5518 35.4623 20.5333 16.2586 19.8318 42.2497 50.5547 29.3312
Aug 30, 2019 20.6320 28.4128 32.6621 35.6083 20.6313 16.2557 19.7948 42.5403 51.1623 29.3958
Aug 29, 2019 20.6181 28.3897 32.6094 35.5411 20.5876 16.2538 19.7771 42.5076 51.1661 29.2170
Aug 28, 2019 20.5741 28.3117 32.4076 35.2784 20.4139 16.2529 19.8146 41.9681 50.4062 29.0641
Aug 27, 2019 20.5559 28.2806 32.3325 35.1815 20.3503 16.2519 19.7906 41.6933 50.0341 29.1217
Aug 26, 2019 20.5562 28.2830 32.3490 35.2053 20.3678 16.2510 19.7297 41.8277 50.5300 28.9712
Aug 23, 2019 20.5228 28.2251 32.2047 35.0190 20.2454 16.2481 19.7526 41.3685 50.1017 28.9105
Aug 22, 2019 20.6034 28.3693 32.5867 35.5174 20.5755 16.2472 19.6722 42.4696 51.4369 29.1725
Aug 21, 2019 20.6118 28.3837 32.6223 35.5638 20.6060 16.2463 19.7062 42.4904 51.5026 29.2741
Aug 20, 2019 20.5800 28.3278 32.4796 35.3784 20.4837 16.2453 19.7177 42.1407 51.0747 29.1112
Aug 19, 2019 20.6005 28.3652 32.5819 35.5119 20.5720 16.2444 19.6764 42.4739 51.3932 29.1612
Aug 16, 2019 20.5543 28.2841 32.3755 35.2452 20.3966 16.2415 19.7358 41.9637 50.9286 28.8869
Aug 15, 2019 20.4978 28.1850 32.1242 34.9186 20.1811 16.2406 19.7355 41.3601 49.9650 28.6559
Aug 14, 2019 20.4851 28.1644 32.0803 34.8635 20.1461 16.2397 19.6821 41.2506 50.0517 28.5870

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.