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
Feb 05, 2016 17.5097 22.2969 23.6973 24.8754 13.9260 14.9477 17.2410 25.4024 30.8387 22.1670
Feb 04, 2016 17.5712 22.4849 23.9734 25.2143 14.1430 14.9470 17.2333 25.8789 31.7752 22.4166
Feb 03, 2016 17.5589 22.4505 23.9234 25.1528 14.1037 14.9463 17.2204 25.8348 31.5609 22.3293
Feb 02, 2016 17.5422 22.3999 23.8496 25.0629 14.0463 14.9455 17.2361 25.6976 31.4258 22.2309
Feb 01, 2016 17.6070 22.6061 24.1539 25.4367 14.2868 14.9448 17.1594 26.1850 32.1792 22.7017
Jan 29, 2016 17.6116 22.6159 24.1674 25.4524 14.2957 14.9439 17.2071 26.1963 32.1616 22.7409
Jan 28, 2016 17.5199 22.3524 23.7863 24.9889 14.0020 14.9411 17.1509 25.5626 31.2149 22.2699
Jan 27, 2016 17.5157 22.3436 23.7755 24.9775 13.9960 14.9402 17.1379 25.4201 31.2914 22.4208
Jan 26, 2016 17.5412 22.4215 23.8894 25.1169 14.0848 14.9392 17.1418 25.6976 31.7201 22.3768
Jan 25, 2016 17.4849 22.2559 23.6484 24.8226 13.8975 14.9383 17.1216 25.3390 31.0796 22.0172
Jan 22, 2016 17.5310 22.4008 23.8614 25.0835 14.0643 14.9355 17.1069 25.7413 31.7509 22.1752
Jan 21, 2016 17.4542 22.1723 23.5298 24.6798 13.8077 14.9346 17.1159 25.2294 30.9826 21.6702
Jan 20, 2016 17.4349 22.1136 23.4451 24.5774 13.7427 14.9337 17.1417 25.0985 30.9839 21.4586
Jan 19, 2016 17.4892 22.2780 23.6834 24.8662 13.9255 14.9328 17.1330 25.3910 31.0528 22.1261
Jan 15, 2016 17.4795 22.2578 23.6578 24.8380 13.9093 14.9291 17.1256 25.3777 31.4042 21.9039
Jan 14, 2016 17.5607 22.5081 24.0234 25.2841 14.1937 14.9282 17.0809 25.9365 31.9870 22.6033
Jan 13, 2016 17.5173 22.3752 23.8293 25.0474 14.0426 14.9272 17.1164 25.5099 31.5979 22.4580
Jan 12, 2016 17.5913 22.6016 24.1615 25.4544 14.3028 14.9263 17.1068 26.1594 32.6053 22.6922
Jan 11, 2016 17.5673 22.5381 24.0716 25.3467 14.2362 14.9254 17.0491 25.9571 32.5205 22.6278
Jan 08, 2016 17.5638 22.5314 24.0638 25.3388 14.2317 14.9226 17.0663 25.9348 32.7101 22.5568
Jan 07, 2016 17.6067 22.6661 24.2631 25.5842 14.3895 14.9217 17.0484 26.2188 33.1770 22.9324
Jan 06, 2016 17.6823 22.9007 24.6099 26.0109 14.6634 14.9208 17.0348 26.8551 34.1067 23.3206
Jan 05, 2016 17.7215 23.0296 24.8022 26.2487 14.8175 14.9199 16.9744 27.2020 34.6470 23.5576
Jan 04, 2016 17.7197 23.0257 24.7972 26.2429 14.8140 14.9189 16.9765 27.1472 34.6186 23.6310
Dec 31, 2015 17.7733 23.2085 25.0635 26.5715 15.0263 14.9154 16.9549 27.5622 35.2356 24.0952
Dec 30, 2015 17.8066 23.3216 25.2267 26.7707 15.1556 14.9146 16.9249 27.8239 35.5126 24.4184

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.