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
Mar 22, 2019 20.2563 27.8246 31.7687 34.5466 19.9816 16.0882 18.6160 40.3623 50.0398 29.2352
Mar 21, 2019 20.3301 27.9737 32.1324 35.0233 20.2993 16.0870 18.5326 41.1396 51.6121 29.6904
Mar 20, 2019 20.2941 27.9040 31.9714 34.8142 20.1612 16.0858 18.5202 40.6933 50.9036 29.6298
Mar 19, 2019 20.3068 27.9322 32.0476 34.9155 20.2297 16.0846 18.4548 40.8118 51.2388 29.7996
Mar 18, 2019 20.3029 27.9252 32.0337 34.8987 20.2195 16.0834 18.4609 40.8156 51.4784 29.6783
Mar 15, 2019 20.2803 27.8836 31.9436 34.7828 20.1433 16.0797 18.4552 40.6644 51.1822 29.5254
Mar 14, 2019 20.2528 27.8318 31.8283 34.6347 20.0468 16.0785 18.4211 40.4607 51.0778 29.2810
Mar 13, 2019 20.2509 27.8282 31.8201 34.6245 20.0402 16.0773 18.4437 40.4825 51.1751 29.1916
Mar 12, 2019 20.2264 27.7808 31.7114 34.4842 19.9481 16.0761 18.4492 40.2001 50.9246 29.0730
Mar 11, 2019 20.2130 27.7568 31.6628 34.4227 19.9087 16.0749 18.4032 40.0798 50.8317 29.0374
Mar 08, 2019 20.1542 27.6438 31.4049 34.0895 19.6895 16.0712 18.4127 39.5004 50.0195 28.7214
Mar 07, 2019 20.1641 27.6645 31.4569 34.1576 19.7347 16.0700 18.4010 39.5806 50.1115 28.8526
Mar 06, 2019 20.2001 27.7378 31.6362 34.3915 19.8897 16.0688 18.3500 39.8964 50.4890 29.2467
Mar 05, 2019 20.2192 27.7771 31.7351 34.5225 19.9780 16.0676 18.3252 40.1568 51.2714 29.2395
Mar 04, 2019 20.2249 27.7894 31.7669 34.5649 20.0065 16.0664 18.3226 40.2007 51.4525 29.2958
Mar 01, 2019 20.2314 27.8061 31.8175 34.6335 20.0535 16.0627 18.2883 40.3567 51.8924 29.2790
Feb 28, 2019 20.2103 27.7642 31.7178 34.5038 19.9677 16.0616 18.3244 40.0779 51.5392 29.2023
Feb 27, 2019 20.2211 27.7858 31.7697 34.5717 20.0126 16.0605 18.3367 40.1799 51.7294 29.2745
Feb 26, 2019 20.2218 27.7861 31.7667 34.5666 20.0080 16.0593 18.3851 40.1951 51.5001 29.2764
Feb 25, 2019 20.2211 27.7867 31.7745 34.5785 20.0173 16.0582 18.3542 40.2270 51.7920 29.2290
Feb 22, 2019 20.2091 27.7654 31.7307 34.5231 19.9813 16.0547 18.3623 40.1717 51.7574 29.1096
Feb 21, 2019 20.1850 27.7200 31.6296 34.3924 19.8953 16.0536 18.3258 39.9147 51.2724 29.0733
Feb 20, 2019 20.1976 27.7444 31.6853 34.4645 19.9426 16.0525 18.3624 40.0530 51.4811 29.1064
Feb 19, 2019 20.1823 27.7150 31.6180 34.3775 19.8854 16.0514 18.3688 39.9739 51.3814 28.9196
Feb 15, 2019 20.1686 27.6921 31.5762 34.3255 19.8521 16.0467 18.3430 39.9115 51.2702 28.8560
Feb 14, 2019 20.1177 27.5930 31.3468 34.0284 19.6565 16.0456 18.3441 39.4787 50.6457 28.4633

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.