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
Jul 27, 2016 18.1787 23.9722 26.0909 27.7656 15.7420 15.0709 17.9514 29.5853 37.9377 24.0270
Jul 26, 2016 18.1756 23.9683 26.0869 27.7616 15.7405 15.0703 17.9100 29.6196 38.0036 23.9539
Jul 25, 2016 18.1691 23.9503 26.0584 27.7254 15.7167 15.0697 17.9085 29.6091 37.7969 23.9020
Jul 22, 2016 18.1742 23.9678 26.0869 27.7612 15.7398 15.0679 17.9141 29.6983 37.8974 23.8782
Jul 21, 2016 18.1658 23.9442 26.0500 27.7151 15.7099 15.0673 17.9159 29.5636 37.6491 23.9798
Jul 20, 2016 18.1715 23.9629 26.0802 27.7530 15.7346 15.0667 17.9051 29.6703 37.7917 23.9280
Jul 19, 2016 18.1527 23.9074 25.9924 27.6434 15.6634 15.0660 17.9224 29.5404 37.5152 23.7810
Jul 18, 2016 18.1619 23.9376 26.0414 27.7052 15.7040 15.0654 17.8998 29.5820 37.6637 23.9177
Jul 15, 2016 18.1520 23.9132 26.0047 27.6605 15.6757 15.0636 17.8918 29.5104 37.5852 23.8799
Jul 14, 2016 18.1585 23.9282 26.0267 27.6866 15.6913 15.0630 17.9393 29.5379 37.5442 23.9413
Jul 13, 2016 18.1433 23.8810 25.9518 27.5939 15.6311 15.0624 17.9862 29.3827 37.4698 23.8165
Jul 12, 2016 18.1423 23.8833 25.9578 27.6028 15.6381 15.0618 17.9448 29.3761 37.5739 23.8382
Jul 11, 2016 18.1055 23.7730 25.7836 27.3859 15.4975 15.0612 17.9940 29.1715 37.1728 23.4222
Jul 08, 2016 18.0837 23.7099 25.6846 27.2628 15.4175 15.0593 18.0309 29.0721 36.8973 23.1796
Jul 07, 2016 18.0280 23.5528 25.4402 26.9606 15.2239 15.0587 18.0084 28.6355 36.1794 22.9044
Jul 06, 2016 18.0262 23.5496 25.4356 26.9546 15.2200 15.0581 17.9958 28.6577 36.0818 22.8891
Jul 05, 2016 18.0167 23.5215 25.3914 26.8999 15.1845 15.0575 18.0137 28.4949 35.8587 22.9871
Jul 01, 2016 18.0508 23.6333 25.5718 27.1260 15.3324 15.0550 17.9247 28.6895 36.3403 23.4437
Jun 30, 2016 18.0331 23.5860 25.5015 27.0400 15.2780 15.0543 17.8874 28.6282 36.1915 23.2664
Jun 29, 2016 17.9866 23.4496 25.2957 26.7869 15.1160 15.0535 17.8894 28.2455 35.6309 23.0500
Jun 28, 2016 17.9208 23.2576 25.0070 26.4324 14.8896 15.0527 17.8891 27.7685 34.9063 22.6477
Jun 27, 2016 17.8435 23.0311 24.6656 26.0128 14.6214 15.0520 17.8833 27.2773 34.2272 21.9926
Jun 24, 2016 17.9151 23.2613 25.0229 26.4590 14.9120 15.0497 17.7875 27.7791 35.3053 22.6615
Jun 23, 2016 18.0898 23.7946 25.8375 27.4668 15.5616 15.0489 17.6869 28.8155 36.7835 24.6000
Jun 22, 2016 18.0289 23.6105 25.5564 27.1187 15.3369 15.0481 17.7206 28.4350 36.1225 24.0214
Jun 21, 2016 18.0311 23.6196 25.5713 27.1377 15.3496 15.0474 17.7112 28.4817 36.2480 23.9852

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.