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
Sep 29, 2016 18.2518 24.1044 26.2674 27.9738 15.8711 15.1116 18.0164 29.4972 38.4551 24.6906
Sep 28, 2016 18.2860 24.2066 26.4295 28.1758 16.0020 15.1110 18.0037 29.7735 38.9125 24.9259
Sep 27, 2016 18.2599 24.1312 26.3108 28.0281 15.9065 15.1103 18.0101 29.6102 38.5993 24.6917
Sep 26, 2016 18.2439 24.0890 26.2464 27.9494 15.8569 15.1096 17.9819 29.4191 38.4880 24.7137
Sep 23, 2016 18.2716 24.1752 26.3845 28.1218 15.9686 15.1076 17.9617 29.6716 38.7766 24.9332
Sep 22, 2016 18.2920 24.2374 26.4834 28.2451 16.0485 15.1070 17.9444 29.8426 39.0025 25.0960
Sep 21, 2016 18.2502 24.1212 26.3023 28.0203 15.9041 15.1063 17.9015 29.6496 38.5300 24.6755
Sep 20, 2016 18.2086 24.0026 26.1165 27.7900 15.7560 15.1057 17.8925 29.3288 38.0439 24.4160
Sep 19, 2016 18.2018 23.9864 26.0929 27.7619 15.7388 15.1050 17.8718 29.3199 38.1609 24.2856
Sep 16, 2016 18.1916 23.9606 26.0532 27.7123 15.7066 15.1030 17.8653 29.3201 37.9424 24.1721
Sep 15, 2016 18.2078 24.0085 26.1286 27.8057 15.7667 15.1023 17.8661 29.4306 38.0534 24.3389
Sep 14, 2016 18.1786 23.9247 25.9973 27.6429 15.6617 15.1017 17.8710 29.1310 37.6298 24.2894
Sep 13, 2016 18.1802 23.9343 26.0144 27.6650 15.6769 15.1010 17.8345 29.1469 37.6642 24.3554
Sep 12, 2016 18.2397 24.1029 26.2780 27.9917 15.8865 15.1003 17.8871 29.5764 38.3509 24.7510
Sep 09, 2016 18.1942 23.9741 26.0768 27.7426 15.7263 15.0983 17.8853 29.1464 37.8641 24.5743
Sep 08, 2016 18.2873 24.2419 26.4985 28.2671 16.0641 15.0977 17.9397 29.8789 38.9910 25.1595
Sep 07, 2016 18.2982 24.2676 26.5369 28.3139 16.0929 15.0970 18.0125 29.9445 39.1070 25.1830
Sep 06, 2016 18.2912 24.2483 26.5062 28.2751 16.0674 15.0963 18.0083 29.9415 38.9038 25.1074
Sep 02, 2016 18.2660 24.1853 26.4112 28.1591 15.9944 15.0936 17.9557 29.8518 38.8500 24.8224
Sep 01, 2016 18.2433 24.1178 26.3039 28.0248 15.9068 15.0930 17.9783 29.7252 38.4940 24.5971
Aug 31, 2016 18.2366 24.0991 26.2747 27.9884 15.8832 15.0924 17.9811 29.7263 38.4527 24.4665
Aug 30, 2016 18.2442 24.1226 26.3124 28.0355 15.9138 15.0918 17.9795 29.7916 38.5745 24.5153
Aug 29, 2016 18.2472 24.1315 26.3262 28.0523 15.9243 15.0912 17.9873 29.8450 38.5647 24.5047
Aug 26, 2016 18.2278 24.0849 26.2564 27.9673 15.8710 15.0893 17.9228 29.6859 38.3379 24.5085
Aug 25, 2016 18.2431 24.1257 26.3195 28.0451 15.9204 15.0887 17.9705 29.7322 38.4319 24.7003
Aug 24, 2016 18.2496 24.1438 26.3474 28.0790 15.9415 15.0881 17.9870 29.7723 38.3518 24.7991

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.