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
May 22, 2017 18.8983 25.5447 28.5008 30.7073 17.6172 15.3269 17.8370 33.2804 43.0280 28.1437
May 19, 2017 18.8743 25.4849 28.3983 30.5784 17.5334 15.3241 17.8378 33.1090 42.7394 27.9748
May 18, 2017 18.8471 25.4136 28.2736 30.4210 17.4309 15.3231 17.8445 32.8855 42.4349 27.7660
May 17, 2017 18.8389 25.3912 28.2338 30.3705 17.3976 15.3222 17.8668 32.7645 42.2779 27.7852
May 16, 2017 18.8921 25.5429 28.5083 30.7209 17.6288 15.3212 17.7680 33.3608 43.2437 28.0493
May 15, 2017 18.8819 25.5183 28.4667 30.6687 17.5953 15.3203 17.7544 33.3771 43.2694 27.8087
May 12, 2017 18.8602 25.4649 28.3755 30.5539 17.5205 15.3174 17.7525 33.2146 42.9513 27.6944
May 11, 2017 18.8544 25.4562 28.3652 30.5428 17.5151 15.3165 17.6876 33.2629 43.1278 27.5463
May 10, 2017 18.8616 25.4778 28.4052 30.5947 17.5498 15.3156 17.6790 33.3243 43.3729 27.5881
May 09, 2017 18.8535 25.4575 28.3699 30.5497 17.5201 15.3146 17.6785 33.2741 43.1666 27.5516
May 08, 2017 18.8598 25.4739 28.3984 30.5855 17.5431 15.3137 17.7005 33.3067 43.1740 27.6403
May 05, 2017 18.8669 25.4964 28.4407 30.6406 17.5796 15.3108 17.7156 33.3025 43.3795 27.7982
May 04, 2017 18.8368 25.4179 28.3035 30.4668 17.4662 15.3099 17.7076 33.1662 43.0230 27.4186
May 03, 2017 18.8321 25.4039 28.2782 30.4350 17.4452 15.3090 17.7463 33.1449 43.1276 27.2688
May 02, 2017 18.8386 25.4227 28.3127 30.4799 17.4751 15.3080 17.7511 33.1804 43.4014 27.3049
May 01, 2017 18.8297 25.4033 28.2822 30.4432 17.4527 15.3071 17.7181 33.1414 43.5541 27.1766
Apr 28, 2017 18.8220 25.3812 28.2419 30.3913 17.4180 15.3061 17.7530 33.0838 43.3637 27.1018
Apr 27, 2017 18.8282 25.4040 28.2871 30.4513 17.4588 15.3031 17.7377 33.1470 43.7732 27.1250
Apr 26, 2017 18.8259 25.4009 28.2838 30.4479 17.4571 15.3021 17.7197 33.1250 43.7667 27.1546
Apr 25, 2017 18.8214 25.3918 28.2692 30.4294 17.4451 15.3011 17.7023 33.1410 43.6394 27.1091
Apr 24, 2017 18.7998 25.3319 28.1623 30.2936 17.3557 15.3001 17.7518 32.9402 43.3001 26.9514
Apr 21, 2017 18.7416 25.1796 27.8971 29.9595 17.1382 15.2971 17.7793 32.5866 42.8179 26.2815
Apr 20, 2017 18.7498 25.2036 27.9403 30.0143 17.1741 15.2961 17.7717 32.6855 42.9386 26.3219
Apr 19, 2017 18.7245 25.1347 27.8184 29.8599 17.0728 15.2951 17.8096 32.4394 42.5173 26.1882
Apr 18, 2017 18.7263 25.1393 27.8257 29.8682 17.0773 15.2941 17.8288 32.4907 42.4020 26.1804
Apr 17, 2017 18.7354 25.1698 27.8831 29.9414 17.1259 15.2931 17.7638 32.5844 42.4029 26.3666

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.