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
Jan 23, 2017 18.4934 24.6629 27.1200 29.0183 16.5456 15.2096 17.5237 31.2661 41.4340 25.1846
Jan 20, 2017 18.4905 24.6654 27.1301 29.0329 16.5567 15.2067 17.4577 31.3493 41.5233 25.1235
Jan 19, 2017 18.4758 24.6273 27.0670 28.9542 16.5059 15.2057 17.4533 31.2436 41.3818 25.0159
Jan 18, 2017 18.4977 24.6837 27.1603 29.0709 16.5808 15.2047 17.5137 31.3558 41.6549 25.2009
Jan 17, 2017 18.4922 24.6649 27.1261 29.0268 16.5507 15.2037 17.5709 31.2954 41.4521 25.1602
Jan 13, 2017 18.5001 24.6982 27.1896 29.1099 16.6071 15.1997 17.5169 31.3890 41.8685 25.2413
Jan 12, 2017 18.4897 24.6692 27.1399 29.0467 16.5653 15.1987 17.5366 31.3304 41.5986 25.1603
Jan 11, 2017 18.4946 24.6851 27.1683 29.0833 16.5897 15.1978 17.5294 31.3973 41.8195 25.1397
Jan 10, 2017 18.4818 24.6529 27.1158 29.0182 16.5480 15.1968 17.5165 31.3058 41.7302 25.0514
Jan 09, 2017 18.4734 24.6309 27.0785 28.9703 16.5162 15.1958 17.5179 31.3057 41.4416 24.9606
Jan 06, 2017 18.4819 24.6622 27.1361 29.0445 16.5656 15.1928 17.4810 31.4165 41.6670 25.0373
Jan 05, 2017 18.4815 24.6586 27.1291 29.0360 16.5597 15.1918 17.5288 31.2969 41.6788 25.1525
Jan 04, 2017 18.4655 24.6244 27.0776 28.9745 16.5226 15.1908 17.4449 31.3204 41.9734 24.8195
Jan 03, 2017 18.4292 24.5264 26.9125 28.7661 16.3866 15.1899 17.4442 31.1352 41.2911 24.4989
Dec 30, 2016 18.4103 24.4777 26.8356 28.6712 16.3257 15.1869 17.4483 30.8727 40.9960 24.6018
Dec 29, 2016 18.4113 24.4881 26.8560 28.6978 16.3440 15.1849 17.4053 31.0148 41.1460 24.4747
Dec 28, 2016 18.4040 24.4724 26.8325 28.6691 16.3261 15.1839 17.3707 31.0224 41.0922 24.3857
Dec 27, 2016 18.4235 24.5346 26.9374 28.8019 16.4136 15.1829 17.3166 31.2778 41.5296 24.4181
Dec 23, 2016 18.4159 24.5181 26.9127 28.7717 16.3940 15.1789 17.3328 31.2078 41.3730 24.4511
Dec 22, 2016 18.4089 24.5008 26.8853 28.7372 16.3716 15.1779 17.3226 31.1659 41.1717 24.4479
Dec 21, 2016 18.4152 24.5205 26.9190 28.7807 16.4005 15.1770 17.3240 31.2199 41.4709 24.4436
Dec 20, 2016 18.4174 24.5316 26.9395 28.8074 16.4188 15.1760 17.2945 31.2957 41.6601 24.3912
Dec 19, 2016 18.4087 24.5069 26.8989 28.7563 16.3852 15.1750 17.3088 31.1779 41.3866 24.4446
Dec 16, 2016 18.3921 24.4703 26.8439 28.6891 16.3430 15.1720 17.2525 31.1158 41.2080 24.3569
Dec 15, 2016 18.3935 24.4743 26.8504 28.6969 16.3477 15.1710 17.2702 31.1693 41.2416 24.2960
Dec 14, 2016 18.3911 24.4640 26.8317 28.6727 16.3308 15.1700 17.3235 31.0476 41.0287 24.4253

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.