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
Jan 22, 2020 21.3103 29.4992 35.3262 39.0411 22.8852 16.3697 19.8926 48.6312 57.7224 32.9600
Jan 21, 2020 21.3069 29.4942 35.3155 39.0274 22.8762 16.3689 19.8806 48.6155 57.6549 32.9530
Jan 17, 2020 21.3131 29.5055 35.3689 39.1006 22.9267 16.3653 19.8143 48.7434 57.8913 33.0571
Jan 16, 2020 21.2984 29.4825 35.3025 39.0144 22.8701 16.3644 19.8345 48.5555 58.0084 32.9123
Jan 15, 2020 21.2699 29.4376 35.1710 38.8409 22.7539 16.3635 19.8458 48.1517 57.3681 32.8746
Jan 14, 2020 21.2602 29.4230 35.1343 38.7932 22.7224 16.3626 19.8174 48.0612 57.2423 32.8489
Jan 13, 2020 21.2546 29.4146 35.1148 38.7673 22.7048 16.3618 19.7917 48.1291 57.0700 32.7521
Jan 10, 2020 21.2324 29.3801 35.0194 38.6422 22.6214 16.3591 19.8052 47.7953 56.5651 32.7786
Jan 09, 2020 21.2339 29.3831 35.0367 38.6658 22.6377 16.3582 19.7618 47.9324 56.7226 32.7086
Jan 08, 2020 21.2069 29.3412 34.9215 38.5158 22.5388 16.3573 19.7322 47.6035 56.5440 32.5859
Jan 07, 2020 21.2013 29.3321 34.8914 38.4763 22.5123 16.3565 19.7797 47.3690 56.3446 32.7096
Jan 06, 2020 21.2053 29.3385 34.9097 38.5003 22.5281 16.3556 19.7980 47.4973 56.4306 32.6347
Jan 03, 2020 21.2031 29.3353 34.9052 38.4954 22.5253 16.3529 19.8239 47.3303 56.3063 32.8052
Jan 02, 2020 21.2205 29.3637 35.0003 38.6209 22.6091 16.3520 19.7462 47.6620 56.4329 32.9120
Dec 31, 2019 21.1861 29.3074 34.8529 38.4293 22.4830 16.3504 19.7176 47.2602 56.2759 32.7166
Dec 30, 2019 21.1770 29.2922 34.8106 38.3738 22.4459 16.3495 19.7343 47.1187 56.1012 32.7045
Dec 27, 2019 21.1959 29.3245 34.9055 38.4993 22.5296 16.3470 19.7456 47.3859 56.3174 32.8107
Dec 26, 2019 21.1848 29.3069 34.8647 38.4471 22.4960 16.3462 19.7049 47.3848 56.5053 32.6105
Dec 24, 2019 21.1684 29.2804 34.7970 38.3596 22.4386 16.3445 19.6979 47.1384 56.4009 32.5897
Dec 23, 2019 21.1633 29.2725 34.7801 38.3377 22.4242 16.3437 19.6724 47.1444 56.3118 32.5462
Dec 20, 2019 21.1603 29.2680 34.7727 38.3289 22.4187 16.3412 19.6879 47.1039 56.2823 32.5600
Dec 19, 2019 21.1418 29.2375 34.6895 38.2200 22.3464 16.3404 19.6919 46.8700 56.0292 32.4859
Dec 18, 2019 21.1252 29.2104 34.6187 38.1275 22.2850 16.3396 19.6727 46.6590 55.7565 32.4610
Dec 17, 2019 21.1315 29.2207 34.6457 38.1626 22.3079 16.3387 19.7000 46.6746 55.6596 32.5769
Dec 16, 2019 21.1307 29.2197 34.6458 38.1628 22.3079 16.3379 19.6923 46.6591 55.5464 32.6267
Dec 13, 2019 21.0970 29.1635 34.4897 37.9579 22.1713 16.3354 19.7477 46.3252 55.0930 32.3553

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.