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 23, 2018 19.6722 27.1328 31.1517 33.9884 19.7243 15.5984 17.7302 38.7531 49.1200 31.1334
Feb 22, 2018 19.6220 27.0157 30.9228 33.6951 19.5324 15.5973 17.6909 38.1403 48.5101 31.0191
Feb 21, 2018 19.6120 26.9945 30.8839 33.6464 19.5012 15.5962 17.6730 38.0987 48.6027 30.8525
Feb 20, 2018 19.6368 27.0527 30.9979 33.7923 19.5962 15.5950 17.7176 38.3087 48.6769 31.1181
Feb 16, 2018 19.6557 27.1032 31.1050 33.9323 19.6893 15.5903 17.7320 38.5318 49.0170 31.2701
Feb 15, 2018 19.6474 27.0860 31.0736 33.8924 19.6633 15.5891 17.7114 38.5140 48.9203 31.1743
Feb 14, 2018 19.6020 26.9802 30.8669 33.6277 19.4900 15.5880 17.6819 38.0453 48.4178 30.9338
Feb 13, 2018 19.5421 26.8331 30.5687 33.2420 19.2343 15.5868 17.7517 37.5318 47.5537 30.3231
Feb 12, 2018 19.5386 26.8262 30.5565 33.2266 19.2242 15.5857 17.7503 37.4321 47.3819 30.4662
Feb 09, 2018 19.4811 26.6918 30.2940 32.8912 19.0044 15.5822 17.7704 36.9164 46.8699 29.9864
Feb 08, 2018 19.4430 26.6021 30.1178 32.6658 18.8570 15.5810 17.7643 36.3632 46.4321 29.9977
Feb 07, 2018 19.5710 26.9100 30.7325 33.4573 19.3779 15.5799 17.7877 37.7731 47.9809 30.7414
Feb 06, 2018 19.5905 26.9542 30.8163 33.5632 19.4458 15.5787 17.8507 37.9636 47.9716 30.8824
Feb 05, 2018 19.5405 26.8359 30.5818 33.2622 19.2484 15.5776 17.8397 37.3042 47.5047 30.7325
Feb 02, 2018 19.6868 27.1979 31.3233 34.2244 19.8863 15.5741 17.7872 38.9033 49.2152 31.9671
Feb 01, 2018 19.7649 27.3839 31.6952 34.7049 20.2031 15.5729 17.8607 39.7446 50.1792 32.4247
Jan 31, 2018 19.7661 27.3852 31.6947 34.7033 20.2008 15.5720 17.9085 39.7632 50.0869 32.3980
Jan 30, 2018 19.7671 27.3897 31.7068 34.7202 20.2129 15.5710 17.8961 39.7426 50.2056 32.4680
Jan 29, 2018 19.8044 27.4799 31.8894 34.9569 20.3694 15.5699 17.9222 40.1776 50.6988 32.6683
Jan 26, 2018 19.8291 27.5424 32.0187 35.1255 20.4813 15.5669 17.9455 40.4477 51.0561 32.8666
Jan 25, 2018 19.7937 27.4558 31.8425 34.8980 20.3309 15.5659 17.9824 39.9737 50.7901 32.6543
Jan 24, 2018 19.7955 27.4643 31.8650 34.9285 20.3522 15.5649 17.9378 39.9498 50.7837 32.8505
Jan 23, 2018 19.7960 27.4653 31.8669 34.9317 20.3546 15.5639 17.9644 39.9718 51.0106 32.7399
Jan 22, 2018 19.7771 27.4229 31.7852 34.8266 20.2856 15.5628 17.9292 39.8837 50.8231 32.5047
Jan 19, 2018 19.7493 27.3581 31.6572 34.6619 20.1769 15.5598 17.9483 39.5637 50.4800 32.3820
Jan 18, 2018 19.7283 27.3065 31.5506 34.5222 20.0830 15.5588 17.9755 39.3897 49.9185 32.2214

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.