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
May 03, 2016 17.9382 23.4275 25.3091 26.8271 15.1577 15.0115 17.5717 28.0242 35.3241 23.9282
May 02, 2016 17.9711 23.5330 25.4723 27.0305 15.2903 15.0108 17.5192 28.2685 35.8864 24.1804
Apr 29, 2016 17.9445 23.4521 25.3492 26.8784 15.1919 15.0093 17.5566 28.0492 35.5944 24.0022
Apr 28, 2016 17.9606 23.5056 25.4324 26.9821 15.2594 15.0079 17.5327 28.1919 35.8102 24.1319
Apr 27, 2016 17.9902 23.5976 25.5737 27.1574 15.3727 15.0072 17.5121 28.4526 36.2042 24.3010
Apr 26, 2016 17.9832 23.5839 25.5547 27.1348 15.3593 15.0065 17.4589 28.4037 36.0868 24.3475
Apr 25, 2016 17.9739 23.5549 25.5095 27.0776 15.3215 15.0058 17.4763 28.3506 35.7753 24.3100
Apr 22, 2016 17.9811 23.5798 25.5491 27.1277 15.3541 15.0036 17.4855 28.4019 35.9801 24.3566
Apr 21, 2016 17.9849 23.5911 25.5655 27.1464 15.3651 15.0029 17.4925 28.4003 35.6896 24.5430
Apr 20, 2016 17.9965 23.6264 25.6194 27.2131 15.4079 15.0022 17.4987 28.5480 35.8760 24.5154
Apr 19, 2016 17.9947 23.6169 25.6038 27.1932 15.3940 15.0015 17.5468 28.5246 35.8281 24.4740
Apr 18, 2016 17.9706 23.5466 25.4977 27.0626 15.3104 15.0008 17.5451 28.4368 35.7377 24.1196
Apr 15, 2016 17.9500 23.4883 25.4103 26.9554 15.2418 14.9987 17.5576 28.2516 35.5478 24.0410
Apr 14, 2016 17.9489 23.4892 25.4124 26.9581 15.2439 14.9980 17.5294 28.2794 35.4696 24.0492
Apr 13, 2016 17.9383 23.4583 25.3662 26.9017 15.2079 14.9973 17.5367 28.2717 35.5393 23.8101
Apr 12, 2016 17.8924 23.3255 25.1655 26.6538 15.0488 14.9966 17.5134 27.9865 34.8771 23.5129
Apr 11, 2016 17.8548 23.2117 24.9928 26.4409 14.9119 14.9959 17.5499 27.7176 34.5503 23.1858
Apr 08, 2016 17.8610 23.2334 25.0267 26.4831 14.9390 14.9937 17.5552 27.7938 34.6534 23.2018
Apr 07, 2016 17.8327 23.1492 24.8991 26.3256 14.8377 14.9930 17.5696 27.7164 34.4933 22.7568
Apr 06, 2016 17.8728 23.2747 25.0908 26.5626 14.9906 14.9923 17.5169 28.0514 34.9450 23.0396
Apr 05, 2016 17.8329 23.1556 24.9101 26.3397 14.8473 14.9916 17.5372 27.7497 34.5158 22.7632
Apr 04, 2016 17.8756 23.2880 25.1123 26.5896 15.0084 14.9909 17.4956 28.0339 34.8682 23.2083
Apr 01, 2016 17.8813 23.3108 25.1494 26.6369 15.0398 14.9888 17.4806 28.1180 35.1239 23.1823
Mar 31, 2016 17.8833 23.3180 25.1606 26.6511 15.0491 14.9881 17.4856 27.9408 34.9880 23.5561
Mar 30, 2016 17.8878 23.3375 25.1901 26.6872 15.0726 14.9874 17.4438 27.9977 34.8558 23.6766
Mar 29, 2016 17.8692 23.2815 25.1082 26.5873 15.0089 14.9867 17.4503 27.8737 34.7898 23.4925

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.