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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 2025L 2030L 2035L 2040L 2045L 2050L 2055L 2060L 2065G FundF FundC FundS FundI Fund
Jul 06, 2020 21.2689 10.1224 34.4434 10.1610 37.7690 10.1871 21.9759 10.2392 10.2392 10.2393 16.4490 20.9555 46.9567 54.0427 30.0523
Jul 02, 2020 21.1910 10.0404 34.1084 10.0531 37.3328 10.0617 21.6880 10.0780 10.0780 10.0781 16.4477 20.9449 46.2229 53.2754 29.5401
Jul 01, 2020 21.1521 10.0000 33.9437 10.0000 37.1183 10.0000 21.5465 10.0000 10.0000 10.0000 16.4474 20.9129 46.0029 53.0218 29.1428
Jun 30, 2020 21.1365 N/A 33.8766 N/A 37.0319 N/A 21.4901 N/A N/A N/A 16.4470 20.9168 45.7718 52.9859 29.0909
Jun 29, 2020 21.0927 N/A 33.6846 N/A 36.7819 N/A 21.3251 N/A N/A N/A 16.4467 20.9174 45.0742 52.1346 29.1575
Jun 26, 2020 21.0399 N/A 33.4530 N/A 36.4792 N/A 21.1243 N/A N/A N/A 16.4457 20.9177 44.4163 51.0974 29.0574
Jun 25, 2020 21.1210 N/A 33.8173 N/A 36.9540 N/A 21.4380 N/A N/A N/A 16.4454 20.8769 45.5172 52.2901 29.2696
Jun 24, 2020 21.0723 N/A 33.6015 N/A 36.6712 N/A 21.2500 N/A N/A N/A 16.4451 20.8695 45.0232 51.4606 29.0298
Jun 23, 2020 21.2015 N/A 34.1789 N/A 37.4265 N/A 21.7509 N/A N/A N/A 16.4448 20.8620 46.2165 53.1796 29.9137
Jun 22, 2020 21.1624 N/A 34.0053 N/A 37.2004 N/A 21.6017 N/A N/A N/A 16.4445 20.8740 46.0189 53.0551 29.4075
Jun 19, 2020 21.1354 N/A 33.8890 N/A 37.0491 N/A 21.5018 N/A N/A N/A 16.4435 20.8742 45.7171 52.7196 29.2879
Jun 18, 2020 21.1562 N/A 33.9827 N/A 37.1713 N/A 21.5824 N/A N/A N/A 16.4432 20.8718 45.9718 52.9328 29.3908
Jun 17, 2020 21.1605 N/A 34.0068 N/A 37.2029 N/A 21.6035 N/A N/A N/A 16.4429 20.8416 45.9447 52.8271 29.5535
Jun 16, 2020 21.1666 N/A 34.0373 N/A 37.2440 N/A 21.6317 N/A N/A N/A 16.4426 20.8358 46.1115 53.3428 29.4106
Jun 15, 2020 21.0834 N/A 33.6719 N/A 36.7683 N/A 21.3177 N/A N/A N/A 16.4423 20.8369 45.2527 52.3220 28.9501
Jun 12, 2020 21.0436 N/A 33.4985 N/A 36.5408 N/A 21.1659 N/A N/A N/A 16.4413 20.8332 44.8769 51.2514 28.8452
Jun 11, 2020 20.9895 N/A 33.2506 N/A 36.2150 N/A 20.9486 N/A N/A N/A 16.4410 20.8675 44.2870 50.2699 28.5702
Jun 10, 2020 21.2531 N/A 34.4425 N/A 37.7784 N/A 21.9877 N/A N/A N/A 16.4407 20.8290 47.0540 53.8901 30.1676
Jun 09, 2020 21.2740 N/A 34.5504 N/A 37.9228 N/A 22.0861 N/A N/A N/A 16.4403 20.7657 47.3065 54.7837 30.2166
Jun 08, 2020 21.3126 N/A 34.7342 N/A 38.1665 N/A 22.2501 N/A N/A N/A 16.4400 20.7235 47.6757 55.8492 30.4200
Jun 05, 2020 21.2498 N/A 34.4615 N/A 37.8091 N/A 22.0123 N/A N/A N/A 16.4390 20.6864 47.1062 54.6393 30.1182
Jun 04, 2020 21.1475 N/A 34.0059 N/A 37.2137 N/A 21.6178 N/A N/A N/A 16.4387 20.6966 45.9027 53.1559 29.6879
Jun 03, 2020 21.1525 N/A 34.0228 N/A 37.2353 N/A 21.6318 N/A N/A N/A 16.4384 20.7378 46.0475 53.3082 29.5706
Jun 02, 2020 21.0714 N/A 33.6584 N/A 36.7589 N/A 21.3155 N/A N/A N/A 16.4381 20.7787 45.4223 52.1200 28.9159
Jun 01, 2020 21.0309 N/A 33.4821 N/A 36.5296 N/A 21.1643 N/A N/A N/A 16.4378 20.7748 45.0511 51.6543 28.6521
May 29, 2020 20.9842 N/A 33.2744 N/A 36.2576 N/A 20.9832 N/A N/A N/A 16.4375 20.7857 44.8807 50.9480 28.1233

The L 2010 Fund and the L 2020 Fund have been retired. To view the share price history, monthly returns, and annual returns of these funds during the time they were available, visit the Retired Funds page.