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
Sep 20, 2017 19.2193 26.1988 29.5486 31.9953 18.4386 15.4407 18.0356 35.1006 45.3662 29.6496
Sep 19, 2017 19.2149 26.1865 29.5248 31.9642 18.4174 15.4398 18.0610 35.0785 45.2028 29.5994
Sep 18, 2017 19.2053 26.1629 29.4826 31.9110 18.3829 15.4389 18.0625 35.0394 45.2313 29.4248
Sep 15, 2017 19.1962 26.1418 29.4451 31.8630 18.3510 15.4362 18.0803 34.9873 44.9789 29.3879
Sep 14, 2017 19.1860 26.1166 29.3995 31.8048 18.3127 15.4354 18.0802 34.9185 44.8077 29.3087
Sep 13, 2017 19.1905 26.1297 29.4250 31.8377 18.3345 15.4345 18.0749 34.9456 44.8407 29.3994
Sep 12, 2017 19.1917 26.1330 29.4311 31.8456 18.3396 15.4336 18.0897 34.9188 44.8229 29.4743
Sep 11, 2017 19.1792 26.1000 29.3692 31.7661 18.2867 15.4327 18.1192 34.7997 44.5590 29.4021
Sep 08, 2017 19.1438 26.0085 29.2012 31.5523 18.1462 15.4300 18.1714 34.4263 44.0654 29.2231
Sep 07, 2017 19.1433 26.0077 29.2000 31.5505 18.1447 15.4291 18.1783 34.4763 44.0255 29.1530
Sep 06, 2017 19.1324 25.9843 29.1614 31.5030 18.1151 15.4282 18.1356 34.4745 44.1591 28.9302
Sep 05, 2017 19.1255 25.9654 29.1258 31.4577 18.0851 15.4274 18.1704 34.3669 44.0996 28.9076
Sep 01, 2017 19.1419 26.0190 29.2336 31.5982 18.1795 15.4237 18.0898 34.6281 44.5652 28.9834
Aug 31, 2017 19.1313 25.9903 29.1797 31.5288 18.1332 15.4228 18.1218 34.5553 44.3403 28.8694
Aug 30, 2017 19.1038 25.9222 29.0571 31.3728 18.0312 15.4219 18.0978 34.3572 43.8878 28.6886
Aug 29, 2017 19.0929 25.8950 29.0078 31.3099 17.9899 15.4209 18.1023 34.1909 43.5748 28.7883
Aug 28, 2017 19.0922 25.8956 29.0109 31.3146 17.9935 15.4200 18.0886 34.1572 43.5765 28.8662
Aug 25, 2017 19.0854 25.8829 28.9917 31.2913 17.9789 15.4171 18.0771 34.1392 43.5410 28.8189
Aug 24, 2017 19.0731 25.8541 28.9412 31.2277 17.9377 15.4161 18.0573 34.0786 43.4287 28.6945
Aug 23, 2017 19.0779 25.8664 28.9630 31.2546 17.9546 15.4152 18.0746 34.1484 43.3572 28.7223
Aug 22, 2017 19.0819 25.8805 28.9918 31.2917 17.9793 15.4142 18.0374 34.2640 43.4044 28.7056
Aug 21, 2017 19.0539 25.8081 28.8592 31.1232 17.8689 15.4133 18.0618 33.9255 42.9622 28.6598
Aug 18, 2017 19.0472 25.7960 28.8414 31.1020 17.8559 15.4104 18.0480 33.8853 42.9619 28.6429
Aug 17, 2017 19.0483 25.8000 28.8497 31.1128 17.8631 15.4095 18.0474 33.9465 43.0111 28.5811
Aug 16, 2017 19.0957 25.9254 29.0818 31.4089 18.0573 15.4085 18.0245 34.4772 43.7440 28.7765
Aug 15, 2017 19.0827 25.8961 29.0316 31.3459 18.0169 15.4076 17.9868 34.4186 43.6387 28.6578

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.