Please donate to TSP Center
TSP Center Data Call for week of August 20, 2017:            

TSP Center - The Thrift Savings Plan Community
 
"FantasyTSP™ and Discussion Forum for the Thrift Savings Plan Investor"
 
 
--- Member Statistics ---
15,518 members, 29 online
Newest member: Tspbc
TSP Center Data Call

  Week Of % Bulls % Bears B/B Spread B/B Ratio Best Fund(s) Worst Fund(s)  
  August 20, 2017 * 94.23 5.77 88.46 16.33 G Fund F Fund  
  2017-08-13 94.42 5.58 88.84 16.92 G Fund F Fund  
  2017-08-06 96.15 3.85 92.31 25.00 G Fund F Fund  
  2017-07-30 95.59 4.41 91.18 21.67 G Fund F Fund  
  2017-07-30 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-07-16 97.81 2.19 95.61 44.60 G Fund F Fund  
  2017-07-09 96.77 3.23 93.55 30.00 G Fund F Fund  
  2017-07-02 95.83 4.17 91.67 23.00 G Fund F Fund  
  2017-06-25 94.01 5.99 88.02 15.69 G Fund F Fund  
  2017-06-18 95.76 4.24 91.53 22.60 G Fund F Fund  
  2017-06-11 87.40 12.60 74.80 6.94 G Fund F Fund  
  2017-06-04 94.31 5.69 88.62 16.57 G Fund F Fund  
  2017-05-28 93.62 6.38 87.23 14.67 G Fund F Fund  
  2017-05-21 88.41 11.59 76.81 7.62 C Fund I Fund  
  2017-05-14 62.07 37.93 24.14 1.64 C Fund S Fund  
  2017-05-07 97.49 2.51 94.98 38.83 C Fund I Fund  
  2017-04-30 95.40 4.60 90.80 20.73 C Fund I Fund  
  2017-04-23 97.26 2.74 94.52 35.50 I Fund C Fund  
  2017-04-16 97.65 2.35 95.31 41.60 I Fund C Fund  
  2017-04-09 94.92 5.08 89.85 18.70 I Fund C Fund  
  2017-04-02 94.08 5.92 88.17 15.90 I Fund S Fund  
  2017-03-26 13.49 86.51 73.02 0.16 S Fund I Fund  
  2017-03-19 20.47 79.53 59.06 0.26 S Fund I Fund  
  2017-03-12 94.57 5.43 89.15 17.43 S Fund C Fund  
  2017-03-05 96.40 3.60 92.79 26.75 S Fund G Fund  
  2017-02-26 93.40 6.60 86.79 14.14 C Fund F Fund  
  2017-02-19 95.83 4.17 91.67 23.00 C Fund S Fund  
  2017-02-12 100.00 0.00 100.00 0.00 C Fund G Fund  
  2017-02-12 93.00 7.00 86.00 13.29 C Fund I Fund  
  2017-01-29 53.85 46.15 7.69 1.17 S Fund F Fund  
  2017-01-22 55.17 44.83 10.34 1.23 S Fund, G Fund S Fund  
  2017-01-15 47.83 52.17 4.35 0.92 F Fund S Fund  
  2017-01-08 57.14 42.86 14.29 1.33 F Fund, S Fund S Fund  
  2017-01-01 32.14 67.86 35.71 0.47 F Fund S Fund  
  2016-12-25 65.00 35.00 30.00 1.86 S Fund F Fund  
  2016-12-18 93.10 6.90 86.21 13.50 S Fund F Fund  
  2016-12-11 72.22 27.78 44.44 2.60 S Fund F Fund  
  2016-12-04 48.15 51.85 3.70 0.93 G Fund S Fund  
  2016-11-27 90.00 10.00 80.00 9.00 S Fund F Fund  
  2016-11-20 72.00 28.00 44.00 2.57 S Fund F Fund  
  2016-11-13 86.67 13.33 73.33 6.50 S Fund F Fund  
  2016-11-06 57.14 42.86 14.29 1.33 S Fund, G Fund S Fund, F Fund  
  2016-10-30 47.06 52.94 5.88 0.89 G Fund S Fund  
  2016-10-23 72.22 27.78 44.44 2.60 S Fund F Fund  
  2016-10-16 75.00 25.00 50.00 3.00 S Fund F Fund  
  2016-10-09 46.67 53.33 6.67 0.88 C Fund F Fund  
  2016-10-02 56.00 44.00 12.00 1.27 S Fund F Fund  
  2016-09-25 50.00 50.00 0.00 1.00 S Fund S Fund  
  2016-09-18 42.11 57.89 15.79 0.73 G Fund S Fund  
  2016-09-11 23.53 76.47 52.94 0.31 G Fund S Fund  
  2016-09-04 43.48 56.52 13.04 0.77 F Fund F Fund  
  2016-08-28 50.00 50.00 0.00 1.00 F Fund I Fund  
  2016-08-21 35.29 64.71 29.41 0.55 F Fund S Fund  
  2016-08-14 36.36 63.64 27.27 0.57 F Fund S Fund  
  2016-08-14 100.00 0.00 100.00 0.00 S Fund F Fund  
  2016-07-31 21.05 78.95 57.89 0.27 F Fund S Fund  
  2016-07-24 55.00 45.00 10.00 1.22 F Fund F Fund, I Fund  
  2016-07-17 54.55 45.45 9.09 1.20 F Fund F Fund  
  2016-07-10 65.22 34.78 30.43 1.88 S Fund F Fund, I Fund  
  2016-07-03 57.14 42.86 14.29 1.33 F Fund I Fund  
  2016-06-26 36.36 63.64 27.27 0.57 F Fund I Fund  
  2016-06-19 47.06 52.94 5.88 0.89 F Fund I Fund  
  2016-06-12 50.00 50.00 0.00 1.00 F Fund, S Fund I Fund  
  2016-06-05 45.00 55.00 10.00 0.82 S Fund, F Fund S Fund  
  2016-05-29 23.53 76.47 52.94 0.31 F Fund S Fund, F Fund  
  2016-05-22 60.00 40.00 20.00 1.50 F Fund, S Fund F Fund  
  2016-05-15 50.00 50.00 0.00 1.00 F Fund I Fund  
  2016-05-08 55.00 45.00 10.00 1.22 F Fund, C Fund I Fund  
  2016-05-01 40.91 59.09 18.18 0.69 F Fund F Fund  
  2016-04-24 33.33 66.67 33.33 0.50 F Fund S Fund  
  2016-04-17 56.52 43.48 13.04 1.30 I Fund F Fund, S Fund  
  2016-04-10 52.17 47.83 4.35 1.09 F Fund I Fund  
  2016-04-03 52.17 47.83 4.35 1.09 F Fund S Fund  
  2016-03-27 55.56 44.44 11.11 1.25 F Fund, S Fund I Fund  
  2016-03-20 63.16 36.84 26.32 1.71 S Fund F Fund  
  2016-03-13 56.00 44.00 12.00 1.27 C Fund F Fund  
  2016-03-06 69.57 30.43 39.13 2.29 S Fund F Fund  
  2016-02-28 78.12 21.88 56.25 3.57 S Fund F Fund  
  2016-02-21 57.89 42.11 15.79 1.38 F Fund, S Fund F Fund  
  2016-02-14 63.16 36.84 26.32 1.71 C Fund F Fund  
  2016-02-07 31.58 68.42 36.84 0.46 F Fund S Fund  
  2016-01-31 68.18 31.82 36.36 2.14 C Fund F Fund  
  2016-01-24 79.17 20.83 58.33 3.80 C Fund F Fund  
  2016-01-17 48.15 51.85 3.70 0.93 F Fund S Fund  
  2016-01-10 58.33 41.67 16.67 1.40 C Fund F Fund  
  2016-01-03 26.67 73.33 46.67 0.36 F Fund S Fund  
  2015-12-27 69.23 30.77 38.46 2.25 S Fund F Fund  
  2015-12-20 56.25 43.75 12.50 1.29 S Fund F Fund, S Fund  
  2015-12-13 73.68 26.32 47.37 2.80 S Fund F Fund  
  2015-12-06 72.73 27.27 45.45 2.67 S Fund F Fund  
  2015-11-29 72.22 27.78 44.44 2.60 S Fund F Fund  
  2015-11-22 86.36 13.64 72.73 6.33 C Fund F Fund  
  2015-11-15 52.94 47.06 5.88 1.12 S Fund F Fund  
  2015-11-08 85.71 14.29 71.43 6.00 S Fund F Fund  
  2015-11-01 76.19 23.81 52.38 3.20 S Fund F Fund  
  2015-10-25 68.18 31.82 36.36 2.14 C Fund F Fund  
  2015-10-18 57.14 42.86 14.29 1.33 C Fund F Fund  
  2015-10-11 61.90 38.10 23.81 1.62 S Fund F Fund  
  2015-10-04 63.16 36.84 26.32 1.71 F Fund F Fund  
  2015-09-27 37.50 62.50 25.00 0.60 F Fund S Fund, I Fund, F Fund  
  2015-09-20 47.37 52.63 5.26 0.90 F Fund F Fund  
  2015-09-13 47.37 52.63 5.26 0.90 F Fund F Fund  
  2015-09-06 38.10 61.90 23.81 0.62 G Fund C Fund  
  2015-08-30 54.17 45.83 8.33 1.18 C Fund F Fund  
  2015-08-23 46.15 53.85 7.69 0.86 S Fund S Fund  
  2015-08-16 63.16 36.84 26.32 1.71 S Fund F Fund  
  2015-08-09 70.00 30.00 40.00 2.33 S Fund F Fund  
  2015-08-02 55.56 44.44 11.11 1.25 S Fund F Fund  
  2015-07-26 42.11 57.89 15.79 0.73 S Fund, F Fund F Fund  
  2015-07-19 94.44 5.56 88.89 17.00 C Fund, S Fund F Fund  
  2015-07-12 86.96 13.04 73.91 6.67 S Fund F Fund  
  2015-07-05 69.23 30.77 38.46 2.25 S Fund F Fund  
  2015-06-28 58.82 41.18 17.65 1.43 S Fund, G Fund F Fund  
  2015-06-21 66.67 33.33 33.33 2.00 S Fund F Fund  
  2015-06-14 63.16 36.84 26.32 1.71 S Fund F Fund  
  2015-06-07 47.37 52.63 5.26 0.90 G Fund I Fund  
  2015-05-31 47.06 52.94 5.88 0.89 F Fund S Fund  
  2015-05-24 52.17 47.83 4.35 1.09 I Fund F Fund  
  2015-05-17 81.82 18.18 63.64 4.50 I Fund F Fund  
  2015-05-10 73.91 26.09 47.83 2.83 I Fund F Fund  
  2015-05-03 55.56 44.44 11.11 1.25 I Fund F Fund  
  2015-04-26 64.29 35.71 28.57 1.80 I Fund F Fund  
  2015-04-19 36.84 63.16 26.32 0.58 F Fund F Fund  
  2015-04-12 72.22 27.78 44.44 2.60 I Fund F Fund  
  2015-04-05 52.94 47.06 5.88 1.12 I Fund F Fund  
  2015-03-29 55.00 45.00 10.00 1.22 F Fund, S Fund S Fund  
  2015-03-22 52.63 47.37 5.26 1.11 F Fund F Fund  
  2015-03-15 50.00 50.00 0.00 1.00 F Fund F Fund  
  2015-03-08 40.74 59.26 18.52 0.69 C Fund, G Fund S Fund  
  2015-03-01 46.43 53.57 7.14 0.87 I Fund F Fund  
  2015-02-22 44.44 55.56 11.11 0.80 I Fund F Fund  
  2015-02-15 70.37 29.63 40.74 2.38 S Fund F Fund  
  2015-02-08 62.07 37.93 24.14 1.64 S Fund F Fund  
  2015-02-01 52.00 48.00 4.00 1.08 S Fund, F Fund F Fund  
  2015-01-25 72.73 27.27 45.45 2.67 S Fund F Fund  
  2015-01-18 54.55 45.45 9.09 1.20 F Fund S Fund  
  2015-01-11 75.00 25.00 50.00 3.00 C Fund I Fund  
  2015-01-04 44.00 56.00 12.00 0.79 F Fund S Fund  
  2014-12-28 86.96 13.04 73.91 6.67 S Fund F Fund  
  2014-12-21 85.19 14.81 70.37 5.75 S Fund F Fund  
  2014-12-21 0.00 100.00 100.00 0.00 F Fund I Fund  
  2014-12-07 73.91 26.09 47.83 2.83 C Fund, S Fund I Fund  
  2014-11-30 50.00 50.00 0.00 1.00 F Fund I Fund  
  2014-11-23 68.18 31.82 36.36 2.14 C Fund I Fund  
  2014-11-16 50.00 50.00 0.00 1.00 F Fund I Fund  
  2014-11-09 71.43 28.57 42.86 2.50 S Fund, C Fund I Fund  
  2014-11-02 94.44 5.56 88.89 17.00 S Fund F Fund  
  2014-10-26 93.33 6.67 86.67 14.00 S Fund F Fund  
  2014-10-19 77.78 22.22 55.56 3.50 S Fund F Fund  
  2014-10-12 47.06 52.94 5.88 0.89 F Fund S Fund, F Fund, I Fund  
  2014-10-05 75.00 25.00 50.00 3.00 S Fund F Fund  
  2014-09-28 76.47 23.53 52.94 3.25 C Fund F Fund, I Fund  
  2014-09-21 61.11 38.89 22.22 1.57 C Fund F Fund  
  2014-09-14 35.29 64.71 29.41 0.55 G Fund S Fund  
  2014-09-07 40.00 60.00 20.00 0.67 F Fund F Fund, I Fund  
  2014-08-31 64.29 35.71 28.57 1.80 C Fund I Fund, F Fund  
  2014-08-24 44.44 55.56 11.11 0.80 F Fund S Fund  
  2014-08-17 72.22 27.78 44.44 2.60 F Fund F Fund  
  2014-08-10 68.42 31.58 36.84 2.17 S Fund F Fund  
  2014-08-03 42.86 57.14 14.29 0.75 S Fund S Fund  
  2014-07-27 68.75 31.25 37.50 2.20 C Fund F Fund, G Fund  
  2014-07-20 57.14 42.86 14.29 1.33 C Fund F Fund  
  2014-07-13 65.00 35.00 30.00 1.86 F Fund, C Fund, S Fund F Fund  
  2014-07-06 75.00 25.00 50.00 3.00 C Fund F Fund  
  2014-06-29 68.42 31.58 36.84 2.17 S Fund I Fund, F Fund  
  2014-06-22 47.06 52.94 5.88 0.89 F Fund S Fund  
  2014-06-15 47.62 52.38 4.76 0.91 F Fund S Fund  
  2014-06-08 50.00 50.00 0.00 1.00 S Fund, F Fund F Fund, S Fund  
  2014-06-01 66.67 33.33 33.33 2.00 S Fund F Fund, S Fund  
  2014-05-25 55.00 45.00 10.00 1.22 F Fund S Fund  
  2014-05-18 40.00 60.00 20.00 0.67 F Fund S Fund  
  2014-05-11 45.45 54.55 9.09 0.83 F Fund S Fund  
  2014-05-04 61.90 38.10 23.81 1.62 S Fund F Fund  
  2014-04-27 28.00 72.00 44.00 0.39 G Fund S Fund  
  2014-04-20 75.00 25.00 50.00 3.00 S Fund F Fund  
  2014-04-13 52.17 47.83 4.35 1.09 F Fund S Fund  
  2014-04-06 70.83 29.17 41.67 2.43 S Fund F Fund  
  2014-03-30 62.50 37.50 25.00 1.67 G Fund, S Fund F Fund  
  2014-03-30 0.00 100.00 100.00 0.00 G Fund I Fund  
  2014-03-16 46.15 53.85 7.69 0.86 F Fund I Fund  
  2014-03-09 63.64 36.36 27.27 1.75 S Fund F Fund  
  2014-03-02 92.31 7.69 84.62 12.00 S Fund F Fund  
  2014-02-23 79.41 20.59 58.82 3.86 S Fund F Fund  
  2014-02-16 82.14 17.86 64.29 4.60 S Fund F Fund  
  2014-02-09 80.00 20.00 60.00 4.00 S Fund F Fund  
  2014-02-02 62.96 37.04 25.93 1.70 S Fund F Fund  
  2014-01-26 37.04 62.96 25.93 0.59 F Fund F Fund  
  2014-01-19 64.00 36.00 28.00 1.78 S Fund F Fund  
  2014-01-12 58.06 41.94 16.13 1.38 S Fund F Fund  
  2014-01-05 52.00 48.00 4.00 1.08 S Fund F Fund  
  2013-12-29 65.38 34.62 30.77 1.89 S Fund F Fund  
  2013-12-22 88.46 11.54 76.92 7.67 S Fund F Fund  
  2013-12-15 70.83 29.17 41.67 2.43 S Fund F Fund  
  2013-12-08 72.73 27.27 45.45 2.67 S Fund F Fund  
  2013-12-01 88.89 11.11 77.78 8.00 S Fund F Fund  
  2013-11-24 76.92 23.08 53.85 3.33 S Fund F Fund  
  2013-11-17 74.07 25.93 48.15 2.86 S Fund F Fund  
  2013-11-10 83.33 16.67 66.67 5.00 S Fund, C Fund F Fund  
  2013-11-03 58.62 41.38 17.24 1.42 C Fund, S Fund F Fund  
  2013-10-27 80.00 20.00 60.00 4.00 S Fund F Fund  
  2013-10-20 83.33 16.67 66.67 5.00 S Fund F Fund  
  2013-10-13 50.00 50.00 0.00 1.00 S Fund F Fund  
  2013-10-06 33.33 66.67 33.33 0.50 F Fund S Fund  
  2013-09-29 34.78 65.22 30.43 0.53 G Fund S Fund  
  2013-09-22 47.62 52.38 4.76 0.91 S Fund F Fund  
  2013-09-15 59.09 40.91 18.18 1.44 S Fund F Fund  
  2013-09-08 55.56 44.44 11.11 1.25 S Fund F Fund  
  2013-09-01 40.91 59.09 18.18 0.69 G Fund, S Fund F Fund  
  2013-08-25 59.38 40.62 18.75 1.46 S Fund F Fund  
  2013-08-18 20.00 80.00 60.00 0.25 G Fund S Fund  
  2013-08-11 39.13 60.87 21.74 0.64 G Fund S Fund  
  2013-08-04 70.37 29.63 40.74 2.38 S Fund F Fund  
  2013-07-28 52.17 47.83 4.35 1.09 S Fund F Fund  
  2013-07-21 77.78 22.22 55.56 3.50 S Fund F Fund  
  2013-07-14 64.00 36.00 28.00 1.78 S Fund F Fund  
  2013-07-07 58.82 41.18 17.65 1.43 S Fund F Fund  
  2013-06-30 56.00 44.00 12.00 1.27 G Fund F Fund  
  2013-06-23 37.50 62.50 25.00 0.60 G Fund F Fund  
  2013-06-16 41.18 58.82 17.65 0.70 G Fund F Fund  
  2013-06-09 58.33 41.67 16.67 1.40 S Fund F Fund  
  2013-06-02 59.09 40.91 18.18 1.44 S Fund F Fund  
  2013-05-26 72.22 27.78 44.44 2.60 S Fund F Fund  
  2013-05-19 70.37 29.63 40.74 2.38 S Fund F Fund  
  2013-05-12 55.56 44.44 11.11 1.25 S Fund S Fund, F Fund  
  2013-05-05 58.33 41.67 16.67 1.40 S Fund F Fund  
  2013-04-28 44.00 56.00 12.00 0.79 F Fund, I Fund S Fund  
  2013-04-21 40.00 60.00 20.00 0.67 F Fund I Fund, S Fund, F Fund  
  2013-04-14 48.39 51.61 3.23 0.94 F Fund S Fund  
  2013-04-07 36.36 63.64 27.27 0.57 F Fund S Fund  
  2013-03-31 82.76 17.24 65.52 4.80 S Fund F Fund  
  2013-03-24 40.00 60.00 20.00 0.67 F Fund I Fund  
  2013-03-17 33.33 66.67 33.33 0.50 F Fund I Fund  
  2013-03-10 58.33 41.67 16.67 1.40 S Fund F Fund  
  2013-03-03 36.59 63.41 26.83 0.58 F Fund S Fund  
  2013-02-24 25.00 75.00 50.00 0.33 F Fund S Fund  
  2013-02-17 35.29 64.71 29.41 0.55 S Fund I Fund  
  2013-02-10 52.50 47.50 5.00 1.11 S Fund F Fund  
  2013-02-03 63.16 36.84 26.32 1.71 S Fund F Fund  
  2013-01-27 72.50 27.50 45.00 2.64 S Fund F Fund  
  2013-01-20 56.25 43.75 12.50 1.29 S Fund F Fund  
  2013-01-20 100.00 0.00 100.00 0.00 I Fund G Fund  
  2013-01-06 73.68 26.32 47.37 2.80 S Fund F Fund  
  2012-12-30 36.00 64.00 28.00 0.56 F Fund S Fund  
  2012-12-23 45.00 55.00 10.00 0.82 F Fund S Fund  
  2012-12-16 50.00 50.00 0.00 1.00 F Fund S Fund  
  2012-12-09 54.55 45.45 9.09 1.20 S Fund F Fund  
  2012-12-02 56.00 44.00 12.00 1.27 F Fund F Fund  
  2012-11-25 58.82 41.18 17.65 1.43 S Fund F Fund  
  2012-11-18 63.64 36.36 27.27 1.75 F Fund F Fund  
  2012-11-11 50.00 50.00 0.00 1.00 F Fund F Fund, S Fund  
  2012-11-04 79.17 20.83 58.33 3.80 S Fund F Fund  
  2012-10-28 59.26 40.74 18.52 1.45 F Fund F Fund  
  2012-10-21 29.17 70.83 41.67 0.41 F Fund S Fund  
  2012-10-14 75.00 25.00 50.00 3.00 S Fund F Fund  
  2012-10-07 62.50 37.50 25.00 1.67 S Fund F Fund  
  2012-09-30 85.71 14.29 71.43 6.00 S Fund F Fund  
  2012-09-23 63.16 36.84 26.32 1.71 F Fund, S Fund F Fund  
  2012-09-16 77.42 22.58 54.84 3.43 S Fund F Fund  
  2012-09-09 60.00 40.00 20.00 1.50 S Fund F Fund  
  2012-09-02 50.00 50.00 0.00 1.00 S Fund, F Fund S Fund  
  2012-08-26 25.00 75.00 50.00 0.33 F Fund S Fund  
  2012-08-19 29.17 70.83 41.67 0.41 F Fund S Fund  
  2012-08-12 18.18 81.82 63.64 0.22 F Fund S Fund  
  2012-08-05 23.53 76.47 52.94 0.31 F Fund S Fund  
  2012-07-29 52.17 47.83 4.35 1.09 F Fund F Fund  
  2012-07-22 37.50 62.50 25.00 0.60 F Fund I Fund  
  2012-07-15 68.18 31.82 36.36 2.14 S Fund I Fund, F Fund  
  2012-07-08 42.11 57.89 15.79 0.73 F Fund I Fund  
  2012-07-01 64.71 35.29 29.41 1.83 S Fund F Fund  
  2012-06-24 45.00 55.00 10.00 0.82 F Fund I Fund  
  2012-06-17 42.11 57.89 15.79 0.73 F Fund I Fund  
  2012-06-10 58.82 41.18 17.65 1.43 S Fund I Fund  
  2012-06-03 30.00 70.00 40.00 0.43 F Fund I Fund  
  2012-05-27 60.00 40.00 20.00 1.50 S Fund I Fund  
  2012-05-20 48.00 52.00 4.00 0.92 F Fund, S Fund I Fund  
  2012-05-13 61.11 38.89 22.22 1.57 S Fund I Fund, F Fund  
  2012-05-06 48.00 52.00 4.00 0.92 S Fund F Fund, S Fund  
  2012-04-29 66.67 33.33 33.33 2.00 S Fund F Fund  
  2012-04-22 58.82 41.18 17.65 1.43 S Fund I Fund, F Fund  
  2012-04-15 57.14 42.86 14.29 1.33 F Fund, S Fund F Fund  
  2012-04-08 57.89 42.11 15.79 1.38 S Fund F Fund  
  2012-04-01 75.00 25.00 50.00 3.00 S Fund F Fund  
  2012-03-25 57.69 42.31 15.38 1.36 S Fund F Fund  
  2012-03-18 75.76 24.24 51.52 3.12 S Fund F Fund  
  2012-03-11 64.29 35.71 28.57 1.80 S Fund F Fund  
  2012-03-04 50.00 50.00 0.00 1.00 F Fund S Fund  
  2012-02-26 63.33 36.67 26.67 1.73 S Fund F Fund  
  2012-02-19 58.06 41.94 16.13 1.38 S Fund F Fund  
  2012-02-12 25.71 74.29 48.57 0.35 F Fund I Fund  
  2012-02-05 56.76 43.24 13.51 1.31 S Fund F Fund  
  2012-01-29 43.75 56.25 12.50 0.78 F Fund I Fund  
  2012-01-22 32.35 67.65 35.29 0.48 F Fund S Fund, I Fund  
  2012-01-15 48.57 51.43 2.86 0.94 F Fund I Fund  
  2012-01-08 53.33 46.67 6.67 1.14 F Fund I Fund  
  2012-01-01 46.67 53.33 6.67 0.88 S Fund I Fund  
  2011-12-25 70.97 29.03 41.94 2.44 S Fund F Fund  
  2011-12-18 79.31 20.69 58.62 3.83 S Fund F Fund  
  2011-12-11 62.07 37.93 24.14 1.64 S Fund, F Fund F Fund  
  2011-12-04 58.62 41.38 17.24 1.42 F Fund I Fund  
  2011-11-27 47.62 52.38 4.76 0.91 F Fund I Fund  
  2011-11-20 56.52 43.48 13.04 1.30 S Fund F Fund  
  2011-11-13 83.33 16.67 66.67 5.00 S Fund F Fund  
  2011-11-06 61.54 38.46 23.08 1.60 F Fund, S Fund F Fund  
  2011-10-30 65.52 34.48 31.03 1.90 S Fund F Fund  
  2011-10-23 67.86 32.14 35.71 2.11 S Fund F Fund  
  2011-10-16 69.23 30.77 38.46 2.25 S Fund F Fund  
  2011-10-09 36.00 64.00 28.00 0.56 F Fund S Fund, F Fund  
  2011-10-02 25.00 75.00 50.00 0.33 F Fund S Fund  
  2011-09-25 38.46 61.54 23.08 0.62 F Fund I Fund  
  2011-09-18 64.00 36.00 28.00 1.78 S Fund F Fund  
  2011-09-11 22.58 77.42 54.84 0.29 F Fund I Fund  
  2011-09-04 35.71 64.29 28.57 0.56 F Fund S Fund  
  2011-08-28 50.00 50.00 0.00 1.00 F Fund S Fund  
  2011-08-21 16.67 83.33 66.67 0.20 F Fund S Fund  
  2011-08-14 56.67 43.33 13.33 1.31 S Fund, F Fund I Fund  
  2011-08-07 31.43 68.57 37.14 0.46 F Fund S Fund  
  2011-07-31 50.00 50.00 0.00 1.00 S Fund S Fund  
  2011-07-24 54.55 45.45 9.09 1.20 S Fund F Fund  
  2011-07-17 52.00 48.00 4.00 1.08 S Fund F Fund  
  2011-07-10 46.88 53.12 6.25 0.88 S Fund F Fund  
  2011-07-03 52.63 47.37 5.26 1.11 S Fund F Fund  
  2011-06-26 50.00 50.00 0.00 1.00 S Fund I Fund  
  2011-06-19 50.00 50.00 0.00 1.00 F Fund, S Fund I Fund  
  2011-06-12 36.67 63.33 26.67 0.58 F Fund I Fund, S Fund  
  2011-06-05 30.30 69.70 39.39 0.43 F Fund S Fund  
  2011-05-29 60.61 39.39 21.21 1.54 S Fund F Fund  
  2011-05-22 50.00 50.00 0.00 1.00 F Fund, S Fund F Fund  
  2011-05-15 62.16 37.84 24.32 1.64 S Fund I Fund  
  2011-05-08 74.07 25.93 48.15 2.86 S Fund G Fund  
  2011-05-01 74.42 25.58 48.84 2.91 S Fund F Fund  
  2011-04-24 84.62 15.38 69.23 5.50 S Fund F Fund  
  2011-04-17 85.71 14.29 71.43 6.00 S Fund F Fund  
  2011-04-10 73.17 26.83 46.34 2.73 S Fund F Fund  
  2011-04-03 76.74 23.26 53.49 3.30 S Fund F Fund  
  2011-03-27 81.82 18.18 63.64 4.50 S Fund F Fund  
  2011-03-20 78.26 21.74 56.52 3.60 I Fund F Fund  
  2011-03-13 60.66 39.34 21.31 1.54 S Fund F Fund  
Show All Data Call Results * Data Call in progress

 
Find us on Facebook!
Find Thrift Savings Plan on Facebook!
Professional TSP Advisory Returns
User Start Date Return
United States TSPKey 2017-01-01 +7.59% *
United States TSPTiming 2017-01-01 +8.25% *
United States - Minnesota TSPMillion 2017-01-01 +5.56% *
United States TSPFolio 2017-01-01 +2.57% *
United States ebbcharts 2017-01-01 +2.92% *
United States BBBInvest 2017-01-01 +1.36% *
United States Relevant ** 2017-01-01 +3.17% *
** Updated monthly What is this?
** Registered Investment Advisor
Top Five 2017 FantasyTSP™ Returns
User Start Date Return
Isle of Man hytid 2017-01-01 +18.86%
United States Thaeland 2017-01-01 +17.94%
United States - Colorado TSPNerd 2017-01-01 +17.82%
United States cgordon 2017-01-01 +16.64%
United States Austin 2017-01-01 +16.43%
View Leader Board
Pending Allocations for Aug 21, 2017
User Pending Allocation
United States ranma143 Log in to view
United States hismonto Log in to view
United States lb5871 Log in to view
United States WSU-Coug Log in to view
United States - California SoCal Log in to view
United States Red140 Log in to view
United States Eliaj Log in to view
United States leor1126 Log in to view
Join FantasyTSP™
  • Track allocation performance
  • Talk with other TSP investors
  • Learn new investment strategies
  • Compete for Leader Board listing
  • Monitor TSP share prices
  • and much more...
Register Free
TSP Share Prices for Aug 18, 2017
    Close Day YTD
   G Fund $15.4104 +0.01% +1.47%
   F Fund $18.0480 +0.00% +3.44%
   C Fund $33.8853 -0.18% +9.76%
   S Fund $42.9619 -0.11% +4.80%
   I Fund $28.6429 +0.22% +16.43%
   L 2050 $17.8559 -0.04% +9.37%
   L 2040 $31.1020 -0.03% +8.48%
   L 2030 $28.8414 -0.03% +7.47%
   L 2020 $25.7960 -0.02% +5.39%
   L Income $19.0472 -0.01% +3.46%
TSP Center Sponsors
 
AGG (F Fund)
iShares Lehman Aggregate Bond (AGG)
S&P 500 (C Fund)
S&P 500 INDEX,RTH (^GSPC)
DWCPF (S Fund)
Dow Jones U.S. Completion Total Stock Market Index (^DWCPF)
EFA (I Fund)
iShares MSCI EAFE Index (EFA)

Contact TSP Center

Copyright © 2006-2013 Hostspring Technologies, LLC
All Rights Reserved

Hostspring Technologies, P.O. Box 9457, Chesapeake, VA 23321


Powered by: Hostspring Valid XHTML 1.0 Transitional


AGG (F Fund)
iShares Lehman Aggregate Bond (AGG)

S&P 500 (C Fund)
S&P 500 INDEX,RTH (^GSPC)

DWCPF (S Fund)
Dow Jones U.S. Completion Total Stock Market Index (^DWCPF)

EFA (I Fund)
iShares MSCI EAFE Index (EFA)