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 17, 2018 20.0722 27.7287 32.0522 35.0591 20.3913 15.8538 17.8318 41.1982 53.8446 29.9917
Sep 14, 2018 20.0865 27.7629 32.1316 35.1647 20.4623 15.8500 17.8612 41.4281 54.4453 29.9218
Sep 13, 2018 20.0783 27.7445 32.0905 35.1105 20.4256 15.8488 17.8872 41.4106 54.2412 29.7803
Sep 12, 2018 20.0582 27.7019 32.0011 34.9956 20.3505 15.8476 17.8796 41.1821 54.1608 29.6548
Sep 11, 2018 20.0484 27.6828 31.9637 34.9480 20.3197 15.8463 17.8576 41.1672 54.1753 29.4973
Sep 10, 2018 20.0402 27.6642 31.9222 34.8944 20.2841 15.8451 17.8934 41.0110 54.0793 29.4997
Sep 07, 2018 20.0253 27.6356 31.8672 34.8242 20.2382 15.8413 17.8800 40.9334 53.8814 29.3978
Sep 06, 2018 20.0397 27.6655 31.9287 34.9035 20.2898 15.8400 17.9414 41.0207 53.9815 29.5352
Sep 05, 2018 20.0523 27.6963 32.0014 34.9996 20.3546 15.8388 17.9114 41.1589 54.2771 29.6657
Sep 04, 2018 20.0692 27.7351 32.0893 35.1152 20.4319 15.8375 17.9104 41.2743 54.5736 29.8877
Aug 31, 2018 20.0867 27.7766 32.1846 35.2408 20.5153 15.8323 17.9585 41.3388 54.6885 30.2527
Aug 30, 2018 20.0911 27.7879 32.2115 35.2758 20.5382 15.8310 17.9527 41.3290 54.4971 30.4696
Aug 29, 2018 20.1049 27.8206 32.2868 35.3746 20.6041 15.8297 17.9355 41.5062 54.6705 30.5904
Aug 28, 2018 20.0874 27.7831 32.2074 35.2721 20.5367 15.8284 17.9351 41.2674 54.4718 30.5589
Aug 27, 2018 20.0834 27.7741 32.1869 35.2453 20.5185 15.8271 17.9658 41.2559 54.4290 30.4652
Aug 24, 2018 20.0488 27.7011 32.0335 35.0478 20.3887 15.8232 17.9796 40.9372 54.2007 30.1682
Aug 23, 2018 20.0243 27.6481 31.9195 34.8998 20.2908 15.8219 17.9834 40.6845 53.8577 30.0166
Aug 22, 2018 20.0348 27.6727 31.9762 34.9745 20.3408 15.8206 17.9793 40.7508 54.0282 30.1795
Aug 21, 2018 20.0255 27.6542 31.9389 34.9262 20.3089 15.8193 17.9647 40.7658 53.9200 30.0112
Aug 20, 2018 20.0098 27.6195 31.8625 34.8255 20.2410 15.8180 17.9828 40.6804 53.4345 29.8642
Aug 17, 2018 19.9886 27.5790 31.7856 34.7278 20.1777 15.8140 17.9316 40.5804 53.2397 29.7028
Aug 16, 2018 19.9740 27.5483 31.7212 34.6447 20.1230 15.8127 17.9284 40.4429 53.0359 29.6210
Aug 15, 2018 19.9427 27.4801 31.5741 34.4538 19.9967 15.8114 17.9368 40.1131 52.6002 29.4272
Aug 14, 2018 19.9776 27.5604 31.7552 34.6912 20.1552 15.8101 17.8996 40.4127 53.2130 29.8113
Aug 13, 2018 19.9562 27.5137 31.6541 34.5596 20.0677 15.8088 17.9119 40.1529 52.7530 29.7673
Aug 10, 2018 19.9765 27.5616 31.7636 34.7037 20.1638 15.8049 17.9330 40.3137 53.0714 30.0307

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.