TSP | G Fund | F Fund | C Fund | S Fund | I Fund |
---|---|---|---|---|---|
Oct 01 | 19.38 ~ | 20.72 ~ | 107.05 ~ | 100.5 ~ | 52.84 ~ |
Sep 30 | 19.38 ~ | 20.67 ~ | 106.68 ~ | 100.23 ~ | 52.51 ~ |
TSP | G Fund | F Fund | C Fund | S Fund | I Fund |
---|---|---|---|---|---|
Sep | 0.35 % | 1.09 % | 3.65 % | 2.04 % | 3.16 % |
YTD | 3.34 % | 6.14 % | 14.80 % | 11.18 % | 25.34 % |
1yr | 4.44 % | 2.90 % | 17.55 % | 16.41 % | 15.48 % |
3yr | 4.34 % | 4.92 % | 24.88 % | 19.64 % | 22.32 % |
5yr | 3.30 % | -0.36 % | 16.43 % | 11.48 % | 11.49 % |
10yr | 2.71 % | 1.95 % | 15.28 % | 11.38 % | 8.53 % |