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
Feb 27, 2017 18.6734 25.0931 27.8106 29.8725 17.0933 15.2443 17.6028 32.7920 43.3981 25.6259
Feb 24, 2017 18.6675 25.0776 27.7837 29.8376 17.0692 15.2414 17.6459 32.7539 43.0714 25.6378
Feb 23, 2017 18.6669 25.0833 27.7977 29.8568 17.0833 15.2404 17.5816 32.6974 43.0250 25.8345
Feb 22, 2017 18.6605 25.0707 27.7800 29.8366 17.0719 15.2394 17.5464 32.6799 43.2654 25.7181
Feb 21, 2017 18.6604 25.0734 27.7865 29.8460 17.0787 15.2384 17.5344 32.7117 43.4356 25.6606
Feb 17, 2017 18.6409 25.0260 27.7096 29.7502 17.0168 15.2344 17.5362 32.5153 43.1201 25.6715
Feb 16, 2017 18.6371 25.0192 27.7002 29.7392 17.0103 15.2334 17.5125 32.4604 43.0594 25.7365
Feb 15, 2017 18.6285 25.0019 27.6746 29.7085 16.9918 15.2324 17.4627 32.4856 43.1659 25.5675
Feb 14, 2017 18.6158 24.9657 27.6127 29.6306 16.9407 15.2314 17.4953 32.3193 42.9662 25.5517
Feb 13, 2017 18.6069 24.9401 27.5691 29.5758 16.9048 15.2304 17.5249 32.1808 42.8315 25.5674
Feb 10, 2017 18.5870 24.8893 27.4857 29.4723 16.8380 15.2274 17.5387 32.0045 42.7057 25.4529
Feb 09, 2017 18.5716 24.8480 27.4160 29.3846 16.7809 15.2265 17.5481 31.8889 42.4695 25.3497
Feb 08, 2017 18.5577 24.8070 27.3446 29.2935 16.7203 15.2255 17.5952 31.7006 42.0056 25.3972
Feb 07, 2017 18.5453 24.7783 27.2994 29.2380 16.6853 15.2245 17.5534 31.6686 41.9903 25.2479
Feb 06, 2017 18.5461 24.7841 27.3116 29.2546 16.6971 15.2235 17.5329 31.6597 42.1175 25.2938
Feb 03, 2017 18.5530 24.8144 27.3695 29.3300 16.7483 15.2205 17.4600 31.7265 42.3278 25.4583
Feb 02, 2017 18.5281 24.7460 27.2534 29.1833 16.6523 15.2195 17.4778 31.4951 41.8115 25.3793
Feb 01, 2017 18.5241 24.7374 27.2404 29.1677 16.6426 15.2185 17.4682 31.4753 41.8246 25.3471
Jan 31, 2017 18.5227 24.7334 27.2338 29.1597 16.6374 15.2175 17.4890 31.4589 41.8808 25.3137
Jan 30, 2017 18.5179 24.7235 27.2181 29.1395 16.6241 15.2166 17.4651 31.4866 41.6429 25.2845
Jan 27, 2017 18.5405 24.7902 27.3339 29.2866 16.7203 15.2136 17.4690 31.6755 42.0900 25.4482
Jan 26, 2017 18.5396 24.7924 27.3405 29.2963 16.7278 15.2126 17.4376 31.7016 42.2327 25.4160
Jan 25, 2017 18.5419 24.8023 27.3594 29.3212 16.7448 15.2116 17.4162 31.7240 42.3646 25.4479
Jan 24, 2017 18.5121 24.7183 27.2166 29.1416 16.6275 15.2106 17.4619 31.4713 42.0024 25.2087
Jan 23, 2017 18.4934 24.6629 27.1200 29.0183 16.5456 15.2096 17.5237 31.2661 41.4340 25.1846
Jan 20, 2017 18.4905 24.6654 27.1301 29.0329 16.5567 15.2067 17.4577 31.3493 41.5233 25.1235

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.