TSP | G Fund | F Fund | C Fund | S Fund | I Fund |
---|---|---|---|---|---|
Sep 22 | 17.73 ~ | 18.19 ~ | 67.07 ~ | 66.46 ~ | 36.82 ~ |
Sep 21 | 17.73 ~ | 18.13 ~ | 67.22 ~ | 66.56 ~ | 36.83 ~ |
TSP | G Fund | F Fund | C Fund | S Fund | I Fund |
---|---|---|---|---|---|
Aug | 0.35 % | -0.63 % | -1.58 % | -4.06 % | -3.90 % |
YTD | 2.62 % | 1.53 % | 18.71 % | 14.45 % | 10.83 % |
1yr | 3.95 % | -1.17 % | 15.91 % | 8.39 % | 18.78 % |
3yr | 2.41 % | -4.25 % | 10.50 % | 5.46 % | 6.33 % |
5yr | 2.24 % | 0.58 % | 11.09 % | 5.19 % | 4.45 % |
10yr | 2.23 % | 1.72 % | 12.81 % | 9.17 % | 5.27 % |