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
Dec 02, 2016 18.2849 24.1779 26.3742 28.1055 15.9648 15.1582 17.4048 30.1800 40.0063 23.7978
Dec 01, 2016 18.2802 24.1710 26.3659 28.0964 15.9601 15.1572 17.3559 30.1681 39.9937 23.8026
Nov 30, 2016 18.2933 24.2031 26.4163 28.1589 15.9996 15.1564 17.4207 30.2732 40.2666 23.7835
Nov 29, 2016 18.3033 24.2279 26.4550 28.2064 16.0293 15.1556 17.4698 30.3470 40.3684 23.8124
Nov 28, 2016 18.2953 24.2092 26.4266 28.1719 16.0078 15.1548 17.4440 30.2992 40.3541 23.7624
Nov 25, 2016 18.3100 24.2600 26.5141 28.2835 16.0819 15.1525 17.3923 30.4551 40.7822 23.8537
Nov 23, 2016 18.2944 24.2179 26.4464 28.1996 16.0277 15.1509 17.4020 30.3356 40.6168 23.7532
Nov 22, 2016 18.2904 24.2043 26.4231 28.1695 16.0072 15.1501 17.4359 30.3100 40.4305 23.7239
Nov 21, 2016 18.2804 24.1786 26.3821 28.1180 15.9738 15.1493 17.4237 30.2426 40.1711 23.7120
Nov 18, 2016 18.2526 24.1042 26.2634 27.9710 15.8794 15.1470 17.4268 30.0187 39.9141 23.5512
Nov 17, 2016 18.2718 24.1537 26.3411 28.0663 15.9392 15.1462 17.4842 30.0855 39.8602 23.8203
Nov 16, 2016 18.2552 24.1040 26.2591 27.9633 15.8718 15.1454 17.5289 29.9434 39.5958 23.6984
Nov 15, 2016 18.2662 24.1382 26.3157 28.0342 15.9178 15.1446 17.5070 29.9829 39.6144 23.9176
Nov 14, 2016 18.2388 24.0631 26.1954 27.8853 15.8224 15.1438 17.5049 29.7529 39.4110 23.7408
Nov 10, 2016 18.2434 24.0698 26.2004 27.8855 15.8174 15.1406 17.6059 29.7938 38.4108 23.9993
Nov 09, 2016 18.2461 24.0749 26.2069 27.8924 15.8207 15.1399 17.6451 29.7327 38.1786 24.1855
Nov 08, 2016 18.2180 23.9808 26.0471 27.6894 15.6853 15.1391 17.8189 29.4049 37.3727 24.0925
Nov 07, 2016 18.2047 23.9429 25.9858 27.6134 15.6363 15.1383 17.8451 29.2801 37.2496 24.0138
Nov 04, 2016 18.1424 23.7709 25.7103 27.2722 15.4170 15.1359 17.8696 28.6429 36.4512 23.8941
Nov 03, 2016 18.1506 23.7967 25.7525 27.3241 15.4502 15.1352 17.8483 28.6900 36.3272 24.0842
Nov 02, 2016 18.1629 23.8314 25.8087 27.3941 15.4952 15.1344 17.8589 28.8069 36.4955 24.1251
Nov 01, 2016 18.1870 23.9012 25.9230 27.5374 15.5883 15.1336 17.8507 28.9922 36.9483 24.2612
Oct 31, 2016 18.2046 23.9527 26.0074 27.6431 15.6569 15.1329 17.8404 29.1900 37.3009 24.2656
Oct 28, 2016 18.1999 23.9441 25.9950 27.6278 15.6470 15.1309 17.8267 29.1936 37.1471 24.2626
Oct 27, 2016 18.2069 23.9644 26.0279 27.6684 15.6729 15.1302 17.8278 29.2825 37.1726 24.2836
Oct 26, 2016 18.2234 24.0080 26.0981 27.7564 15.7296 15.1296 17.8721 29.3695 37.5468 24.3561

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.