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 26, 2017 18.8259 25.4009 28.2838 30.4479 17.4571 15.3021 17.7197 33.1250 43.7667 27.1546
Apr 25, 2017 18.8214 25.3918 28.2692 30.4294 17.4451 15.3011 17.7023 33.1410 43.6394 27.1091
Apr 24, 2017 18.7998 25.3319 28.1623 30.2936 17.3557 15.3001 17.7518 32.9402 43.3001 26.9514
Apr 21, 2017 18.7416 25.1796 27.8971 29.9595 17.1382 15.2971 17.7793 32.5866 42.8179 26.2815
Apr 20, 2017 18.7498 25.2036 27.9403 30.0143 17.1741 15.2961 17.7717 32.6855 42.9386 26.3219
Apr 19, 2017 18.7245 25.1347 27.8184 29.8599 17.0728 15.2951 17.8096 32.4394 42.5173 26.1882
Apr 18, 2017 18.7263 25.1393 27.8257 29.8682 17.0773 15.2941 17.8288 32.4907 42.4020 26.1804
Apr 17, 2017 18.7354 25.1698 27.8831 29.9414 17.1259 15.2931 17.7638 32.5844 42.4029 26.3666
Apr 13, 2017 18.7042 25.0919 27.7499 29.7740 17.0171 15.2891 17.7770 32.3062 41.9509 26.2532
Apr 12, 2017 18.7220 25.1453 27.8477 29.8992 17.1000 15.2881 17.7210 32.5273 42.3257 26.3334
Apr 11, 2017 18.7353 25.1826 27.9152 29.9860 17.1575 15.2871 17.7193 32.6498 42.7674 26.3570
Apr 10, 2017 18.7261 25.1645 27.8872 29.9508 17.1353 15.2861 17.6550 32.6919 42.5605 26.2554
Apr 07, 2017 18.7188 25.1507 27.8665 29.9257 17.1194 15.2831 17.6400 32.6677 42.4456 26.2396
Apr 06, 2017 18.7217 25.1577 27.8781 29.9399 17.1281 15.2821 17.6683 32.6945 42.4619 26.2424
Apr 05, 2017 18.7137 25.1386 27.8455 29.8981 17.1006 15.2811 17.6553 32.6217 42.1089 26.3069
Apr 04, 2017 18.7244 25.1687 27.9000 29.9684 17.1472 15.2801 17.6574 32.7186 42.4956 26.3180
Apr 03, 2017 18.7219 25.1637 27.8923 29.9593 17.1415 15.2792 17.6577 32.6951 42.5126 26.3110
Mar 31, 2017 18.7281 25.1904 27.9439 30.0274 17.1881 15.2761 17.6102 32.7472 42.8703 26.4109
Mar 30, 2017 18.7351 25.2128 27.9833 30.0769 17.2203 15.2752 17.5887 32.8212 42.7997 26.5367
Mar 29, 2017 18.7265 25.1879 27.9399 30.0216 17.1835 15.2742 17.6206 32.7240 42.5739 26.5218
Mar 28, 2017 18.7225 25.1813 27.9311 30.0108 17.1771 15.2732 17.5852 32.6816 42.4109 26.6125
Mar 27, 2017 18.6958 25.1062 27.8029 29.8492 17.0714 15.2722 17.6211 32.4465 42.0909 26.4025
Mar 24, 2017 18.6930 25.1054 27.8051 29.8529 17.0744 15.2692 17.5973 32.4800 42.0464 26.3989
Mar 23, 2017 18.6892 25.0981 27.7942 29.8396 17.0661 15.2682 17.5788 32.5066 42.0157 26.3273
Mar 22, 2017 18.6847 25.0854 27.7720 29.8109 17.0466 15.2672 17.5956 32.5407 41.8781 26.2056
Mar 21, 2017 18.6792 25.0752 27.7578 29.7942 17.0368 15.2662 17.5596 32.4787 41.8559 26.2516

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.