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
Aug 26, 2016 18.2278 24.0849 26.2564 27.9673 15.8710 15.0893 17.9228 29.6859 38.3379 24.5085
Aug 25, 2016 18.2431 24.1257 26.3195 28.0451 15.9204 15.0887 17.9705 29.7322 38.4319 24.7003
Aug 24, 2016 18.2496 24.1438 26.3474 28.0790 15.9415 15.0881 17.9870 29.7723 38.3518 24.7991
Aug 23, 2016 18.2656 24.1915 26.4235 28.1742 16.0033 15.0875 17.9892 29.9274 38.6736 24.8338
Aug 22, 2016 18.2520 24.1527 26.3621 28.0975 15.9535 15.0869 17.9885 29.8680 38.4543 24.6966
Aug 19, 2016 18.2464 24.1435 26.3500 28.0832 15.9450 15.0850 17.9501 29.8841 38.3740 24.6606
Aug 18, 2016 18.2562 24.1693 26.3898 28.1319 15.9756 15.0844 17.9857 29.9230 38.3938 24.7781
Aug 17, 2016 18.2418 24.1310 26.3303 28.0580 15.9281 15.0838 17.9587 29.8566 38.1560 24.6778
Aug 16, 2016 18.2385 24.1247 26.3222 28.0492 15.9235 15.0832 17.9388 29.7937 38.2419 24.7132
Aug 15, 2016 18.2583 24.1822 26.4130 28.1627 15.9967 15.0826 17.9548 29.9523 38.5741 24.8060
Aug 12, 2016 18.2480 24.1524 26.3656 28.1028 15.9571 15.0807 17.9821 29.8653 38.2537 24.8043
Aug 11, 2016 18.2444 24.1479 26.3608 28.0976 15.9549 15.0801 17.9334 29.8876 38.2640 24.7651
Aug 10, 2016 18.2288 24.0979 26.2804 27.9971 15.8890 15.0795 17.9926 29.7429 38.1119 24.6152
Aug 09, 2016 18.2308 24.1082 26.2988 28.0213 15.9057 15.0789 17.9575 29.8173 38.3075 24.5462
Aug 08, 2016 18.2131 24.0620 26.2279 27.9340 15.8503 15.0783 17.9165 29.8044 38.2548 24.2580
Aug 05, 2016 18.2062 24.0462 26.2048 27.9059 15.8326 15.0764 17.9070 29.8287 38.2609 24.1169
Aug 04, 2016 18.1858 23.9820 26.1020 27.7775 15.7487 15.0758 17.9680 29.5737 37.9101 24.0883
Aug 03, 2016 18.1745 23.9547 26.0611 27.7277 15.7176 15.0752 17.9243 29.5598 37.8893 23.9358
Aug 02, 2016 18.1746 23.9556 26.0624 27.7286 15.7177 15.0746 17.9262 29.4587 37.6034 24.1872
Aug 01, 2016 18.1967 24.0176 26.1598 27.8501 15.7960 15.0740 17.9640 29.6464 38.0724 24.2129
Jul 29, 2016 18.2126 24.0612 26.2275 27.9339 15.8492 15.0734 18.0017 29.6841 38.1467 24.4466
Jul 28, 2016 18.1827 23.9824 26.1066 27.7849 15.7544 15.0715 17.9534 29.6354 38.0222 23.9991
Jul 27, 2016 18.1787 23.9722 26.0909 27.7656 15.7420 15.0709 17.9514 29.5853 37.9377 24.0270
Jul 26, 2016 18.1756 23.9683 26.0869 27.7616 15.7405 15.0703 17.9100 29.6196 38.0036 23.9539
Jul 25, 2016 18.1691 23.9503 26.0584 27.7254 15.7167 15.0697 17.9085 29.6091 37.7969 23.9020
Jul 22, 2016 18.1742 23.9678 26.0869 27.7612 15.7398 15.0679 17.9141 29.6983 37.8974 23.8782

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.