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
Jul 18, 2018 19.9424 27.5185 31.7267 34.6705 20.1489 15.7757 17.8760 40.0122 53.0958 30.3985
Jul 17, 2018 19.9320 27.4964 31.6798 34.6097 20.1086 15.7745 17.8826 39.9261 52.9268 30.3207
Jul 16, 2018 19.9188 27.4682 31.6198 34.5316 20.0568 15.7732 17.8868 39.7672 52.6166 30.3167
Jul 13, 2018 19.9221 27.4783 31.6468 34.5688 20.0822 15.7695 17.9092 39.8064 52.8964 30.3215
Jul 12, 2018 19.9133 27.4615 31.6153 34.5293 20.0571 15.7682 17.8824 39.7633 52.9504 30.2207
Jul 11, 2018 19.8869 27.4046 31.4940 34.3728 19.9543 15.7670 17.8829 39.4144 52.6746 30.1494
Jul 10, 2018 19.9173 27.4743 31.6502 34.5767 20.0898 15.7658 17.8566 39.6963 53.0269 30.5015
Jul 09, 2018 19.9098 27.4589 31.6195 34.5384 20.0655 15.7645 17.8622 39.5581 53.1447 30.4984
Jul 06, 2018 19.8735 27.3821 31.4580 34.3304 19.9286 15.7608 17.8765 39.2008 52.7248 30.2747
Jul 05, 2018 19.8373 27.3046 31.2943 34.1188 19.7893 15.7595 17.8560 38.8683 52.2354 30.0407
Jul 03, 2018 19.8046 27.2354 31.1494 33.9319 19.6664 15.7570 17.8484 38.5267 51.7475 29.9149
Jul 02, 2018 19.8020 27.2321 31.1460 33.9273 19.6630 15.7558 17.8180 38.7183 51.6915 29.6655
Jun 29, 2018 19.8087 27.2494 31.1841 33.9770 19.6957 15.7533 17.8330 38.5985 51.4551 30.1039
Jun 28, 2018 19.7920 27.2141 31.1151 33.8890 19.6383 15.7508 17.8268 38.5667 51.4459 29.8007
Jun 27, 2018 19.7752 27.1759 31.0365 33.7877 19.5715 15.7496 17.8436 38.3251 51.1927 29.7966
Jun 26, 2018 19.8055 27.2501 31.1982 33.9995 19.7134 15.7483 17.7920 38.6577 51.9490 29.9886
Jun 25, 2018 19.7977 27.2335 31.1651 33.9567 19.6849 15.7471 17.7911 38.5727 51.7122 30.0091
Jun 22, 2018 19.8492 27.3577 31.4321 34.3049 19.9164 15.7433 17.7715 39.1093 52.6066 30.4219
Jun 21, 2018 19.8342 27.3244 31.3644 34.2180 19.8594 15.7421 17.7758 39.0355 52.6170 30.1673
Jun 20, 2018 19.8559 27.3768 31.4778 34.3665 19.9586 15.7409 17.7615 39.2813 53.1594 30.2728
Jun 19, 2018 19.8436 27.3479 31.4158 34.2850 19.9036 15.7396 17.7906 39.2141 52.8009 30.1319
Jun 18, 2018 19.8640 27.3975 31.5231 34.4247 19.9963 15.7384 17.7677 39.3708 52.9184 30.4650
Jun 15, 2018 19.8727 27.4214 31.5773 34.4950 20.0424 15.7347 17.7729 39.4539 52.7134 30.7089
Jun 14, 2018 19.8815 27.4441 31.6284 34.5621 20.0872 15.7334 17.7542 39.4902 52.7364 30.9411
Jun 13, 2018 19.8718 27.4248 31.5926 34.5164 20.0576 15.7322 17.7192 39.3806 52.5039 31.0023
Jun 12, 2018 19.8832 27.4515 31.6489 34.5897 20.1059 15.7310 17.7377 39.5382 52.7362 31.0014

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.