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
Jun 21, 2017 18.9769 25.6997 28.7360 30.9918 17.7953 15.3553 17.9723 33.9175 43.6324 28.0433
Jun 20, 2017 18.9816 25.7137 28.7622 31.0258 17.8179 15.3544 17.9726 33.9347 43.7503 28.1181
Jun 19, 2017 19.0062 25.7842 28.8903 31.1898 17.9263 15.3534 17.9350 34.1622 44.1764 28.3261
Jun 16, 2017 18.9774 25.7102 28.7615 31.0272 17.8203 15.3506 17.9540 33.8795 43.8317 28.1918
Jun 15, 2017 18.9666 25.6837 28.7165 30.9710 17.7841 15.3496 17.9449 33.8699 43.8921 27.9573
Jun 14, 2017 18.9913 25.7495 28.8328 31.1189 17.8806 15.3487 17.9674 33.9394 44.0952 28.3852
Jun 13, 2017 18.9840 25.7373 28.8167 31.1006 17.8707 15.3477 17.8994 33.9708 44.2752 28.2322
Jun 12, 2017 18.9633 25.6835 28.7226 30.9815 17.7929 15.3468 17.8934 33.8096 43.9619 28.0935
Jun 09, 2017 18.9675 25.6984 28.7511 31.0182 17.8170 15.3439 17.9049 33.8403 43.9944 28.1883
Jun 08, 2017 18.9691 25.7037 28.7609 31.0306 17.8249 15.3430 17.9090 33.8683 43.9592 28.2103
Jun 07, 2017 18.9695 25.7044 28.7611 31.0293 17.8228 15.3420 17.9233 33.8583 43.6091 28.3402
Jun 06, 2017 18.9666 25.6961 28.7462 31.0105 17.8103 15.3411 17.9483 33.7986 43.5889 28.3488
Jun 05, 2017 18.9752 25.7232 28.7969 31.0757 17.8537 15.3402 17.9160 33.8924 43.7166 28.4505
Jun 02, 2017 18.9816 25.7437 28.8357 31.1263 17.8873 15.3373 17.9321 33.9325 43.9355 28.5205
Jun 01, 2017 18.9541 25.6757 28.7196 30.9804 17.7932 15.3364 17.8818 33.8068 43.7418 28.1962
May 31, 2017 18.9261 25.6005 28.5857 30.8092 17.6802 15.3354 17.8967 33.5487 43.0305 28.1212
May 30, 2017 18.9201 25.5875 28.5646 30.7830 17.6634 15.3345 17.8783 33.5588 43.0009 28.0176
May 26, 2017 18.9205 25.5976 28.5891 30.8167 17.6873 15.3307 17.8435 33.5942 43.2489 28.0385
May 25, 2017 18.9229 25.6056 28.6043 30.8366 17.7006 15.3297 17.8413 33.5795 43.2685 28.1386
May 24, 2017 18.9077 25.5678 28.5400 30.7565 17.6492 15.3288 17.8271 33.4263 43.2078 28.0650
May 23, 2017 18.9017 25.5547 28.5190 30.7305 17.6327 15.3279 17.8088 33.3424 43.0973 28.1328
May 22, 2017 18.8983 25.5447 28.5008 30.7073 17.6172 15.3269 17.8370 33.2804 43.0280 28.1437
May 19, 2017 18.8743 25.4849 28.3983 30.5784 17.5334 15.3241 17.8378 33.1090 42.7394 27.9748
May 18, 2017 18.8471 25.4136 28.2736 30.4210 17.4309 15.3231 17.8445 32.8855 42.4349 27.7660
May 17, 2017 18.8389 25.3912 28.2338 30.3705 17.3976 15.3222 17.8668 32.7645 42.2779 27.7852
May 16, 2017 18.8921 25.5429 28.5083 30.7209 17.6288 15.3212 17.7680 33.3608 43.2437 28.0493

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.