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TSP Center - The Thrift Savings Plan Community
 
"FantasyTSP™ and Discussion Forum for the Thrift Savings Plan Investor"
 
 
--- Member Statistics ---
14,761 members, 52 online
Newest member: bevolatte
TSP Center Data Call

  Week Of % Bulls % Bears B/B Spread B/B Ratio Best Fund(s) Worst Fund(s)  
  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 93.00 7.00 86.00 13.29 C Fund I Fund  
  2017-02-12 100.00 0.00 100.00 0.00 C Fund G 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 0.00 100.00 100.00 0.00 F Fund I Fund  
  2014-12-21 85.19 14.81 70.37 5.75 S Fund F 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  

 
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Professional TSP Advisory Returns
User Start Date Return
United States TSPKey 2017-01-01 +6.47% *
United States TSPTiming 2017-01-01 +3.33% *
United States - Minnesota TSPMillion 2017-01-01 +3.80% *
United States TSPFolio 2017-01-01 +1.99% *
United States ebbcharts 2017-01-01 +1.75% *
United States BBBInvest 2017-01-01 +0.78% *
United States Relevant ** 2017-01-01 +1.35% *
** Updated monthly What is this?
** Registered Investment Advisor
Top Five 2017 FantasyTSP™ Returns
User Start Date Return
Antigua and Barbuda Tiffany 2017-01-01 +14.40%
United States thuylam69 2017-01-01 +14.40%
Ascension Island hytid 2017-01-01 +14.40%
United States Austin 2017-01-01 +14.40%
United States Phoenix44 2017-01-01 +14.40%
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Pending Allocations for May 23, 2017
User Pending Allocation
United States JJbat150 Log in to view
United States ElmerFudd Log in to view
United States Tpcoxjr82 Log in to view
United States alarmdog Log in to view
United States Ruystar Log in to view
United States mojoman Log in to view
United States GoRedSox Log in to view
United States - Oklahoma squidlips Log in to view
United States chavitonga Log in to view
United States steevo83 Log in to view
View All 13 Pending Allocations
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TSP Share Prices for May 22, 2017
    Close Day YTD
   G Fund $15.3269 +0.02% +0.92%
   F Fund $17.8370 -0.00% +2.23%
   C Fund $33.2804 +0.52% +7.80%
   S Fund $43.0280 +0.68% +4.96%
   I Fund $28.1437 +0.60% +14.40%
   L 2050 $17.6172 +0.48% +7.91%
   L 2040 $30.7073 +0.42% +7.10%
   L 2030 $28.5008 +0.36% +6.21%
   L 2020 $25.5447 +0.23% +4.36%
   L Income $18.8983 +0.13% +2.65%
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)

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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)