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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
Apr 03, 2020 20.0249 27.4676 29.3628 31.2367 17.7041 16.4173 20.3869 36.5774 37.2543 24.1056
Apr 02, 2020 20.1060 27.5864 29.6979 31.6646 17.9824 16.4169 20.3671 37.1334 38.2998 24.6188
Apr 01, 2020 20.0284 27.4733 29.3841 31.2666 17.7262 16.4165 20.3534 36.2950 37.9828 24.2674
Mar 31, 2020 20.2206 27.7740 30.1989 32.3116 18.4078 16.4160 20.3288 37.9739 40.4378 25.2887
Mar 30, 2020 20.2631 27.8402 30.3731 32.5328 18.5503 16.4155 20.3493 38.5882 40.8702 25.2668
Mar 27, 2020 20.1562 27.6747 29.9477 31.9924 18.2020 16.4138 20.2360 37.3302 40.0671 25.0302
Mar 26, 2020 20.2845 27.8757 30.4899 32.6828 18.6492 16.4133 20.1456 38.6309 41.4565 25.5835
Mar 25, 2020 20.0377 27.4923 29.4990 31.4277 17.8404 16.4127 20.0465 36.3637 39.1186 24.5491
Mar 24, 2020 19.9333 27.3308 29.0939 30.9171 17.5120 16.4122 19.9764 35.9488 38.0886 23.7091
Mar 23, 2020 19.5673 26.7622 27.6451 29.0928 16.3417 16.4116 19.9125 32.8598 34.6250 22.0873
Mar 20, 2020 19.6420 26.8807 27.9770 29.5131 16.6126 16.4100 19.7081 33.8515 35.3017 22.3312
Mar 19, 2020 19.7566 27.0602 28.4531 30.1136 16.9981 16.4094 19.5848 35.3794 36.5398 22.4389
Mar 18, 2020 19.7055 26.9797 28.2267 29.8175 16.7999 16.4089 19.6429 35.2184 34.5492 22.1994
Mar 17, 2020 19.9855 27.4122 29.3120 31.1930 17.6879 16.4083 20.0634 37.1328 38.3060 23.4048
Mar 16, 2020 19.8111 27.1369 28.5335 30.1937 17.0362 16.4078 20.3621 35.0453 36.5634 22.5738
Mar 13, 2020 20.3258 27.9416 30.6852 32.9342 18.8124 16.4061 20.1860 39.8121 42.7135 24.9151
Mar 12, 2020 20.0226 27.4667 29.3795 31.2577 17.7196 16.4056 20.3097 36.4219 39.8265 23.5531
Mar 11, 2020 20.4630 28.1548 31.2795 33.7173 19.3353 16.4051 20.4791 40.2436 44.5478 26.4924
Mar 10, 2020 20.6947 28.5163 32.2632 34.9866 20.1670 16.4045 20.6019 42.3071 47.4976 27.7338
Mar 09, 2020 20.5480 28.2835 31.5705 34.0847 19.5714 16.4040 20.9175 40.3189 45.8613 27.0008
Mar 06, 2020 20.8902 28.8214 33.1169 36.1051 20.9104 16.4023 20.8495 43.6277 50.5806 29.2493
Mar 05, 2020 20.9479 28.9144 33.4144 36.4981 21.1739 16.4018 20.6354 44.3831 51.7294 29.6279
Mar 04, 2020 21.0861 29.1318 34.0398 37.3135 21.7131 16.4012 20.5831 45.9311 53.4803 30.3791
Mar 03, 2020 20.9253 28.8798 33.3268 36.3850 21.1005 16.4007 20.5512 44.0703 51.8811 29.5412
Mar 02, 2020 21.0169 29.0242 33.7431 36.9262 21.4571 16.4001 20.4879 45.3408 53.0054 29.8197
Feb 28, 2020 20.8657 28.7878 33.0835 36.0710 20.8952 16.3987 20.4606 43.3479 51.4499 29.3625

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.