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TSP Center Data Call for week of July 22, 2018:            

TSP Center - The Thrift Savings Plan Community
 
"FantasyTSP™ and Discussion Forum for the Thrift Savings Plan Investor"
 
 
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17,264 members, 76 online
Newest member: Lbais3204
TSP Center Data Call

  Week Of % Bulls % Bears B/B Spread B/B Ratio Best Fund(s) Worst Fund(s)  
  July 22, 2018 * 4.55 95.45 90.91 0.05 I Fund G Fund  
  2018-07-22 0.00 100.00 100.00 0.00 I Fund G Fund  
  2018-07-15 0.00 100.00 100.00 0.00 I Fund G Fund  
  2018-07-01 6.48 93.52 87.04 0.07 I Fund G Fund  
  2018-06-24 6.52 93.48 86.96 0.07 I Fund G Fund  
  2018-06-17 6.52 93.48 86.96 0.07 I Fund G Fund  
  2018-06-10 9.52 90.48 80.95 0.11 I Fund G Fund  
  2018-06-03 7.02 92.98 85.96 0.08 I Fund G Fund  
  2018-05-27 6.25 93.75 87.50 0.07 I Fund G Fund  
  2018-05-20 7.62 92.38 84.76 0.08 I Fund G Fund  
  2018-05-13 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-05-13 96.84 3.16 93.68 30.67 G Fund F Fund  
  2018-04-29 97.66 2.34 95.31 41.67 G Fund F Fund  
  2018-04-22 96.77 3.23 93.55 30.00 G Fund F Fund  
  2018-04-15 95.88 4.12 91.75 23.25 G Fund F Fund  
  2018-04-15 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-04-01 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-04-01 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-03-25 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-03-11 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-03-04 94.81 5.19 89.61 18.25 G Fund F Fund  
  2018-03-04 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-02-25 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-02-18 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-02-11 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-02-04 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-01-21 97.59 2.41 95.18 40.50 G Fund F Fund  
  2018-01-21 100.00 0.00 100.00 0.00 G Fund F Fund  
  2018-01-07 95.59 4.41 91.18 21.67 G Fund F Fund  
  2017-12-31 93.04 6.96 86.09 13.38 G Fund F Fund  
  2017-12-24 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-12-24 97.00 3.00 94.00 32.33 G Fund F Fund  
  2017-12-17 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-12-10 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-12-03 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-11-26 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-11-19 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-11-12 100.00 0.00 100.00 0.00 G Fund F Fund  
  2017-10-29 97.31 2.69 94.62 36.17 G Fund F Fund  
  2017-10-22 99.18 0.82 98.36 121.00 G Fund F Fund  
  2017-10-15 96.03 3.97 92.06 24.20 G Fund F Fund  
  2017-10-08 95.56 4.44 91.11 21.50 G Fund F Fund  
  2017-10-01 94.62 5.38 89.25 17.60 G Fund F Fund  
  2017-09-24 95.80 4.20 91.61 22.83 G Fund F Fund  
  2017-09-17 94.35 5.65 88.69 16.69 G Fund F Fund  
  2017-09-10 95.09 4.91 90.18 19.38 G Fund F Fund  
  2017-09-03 98.89 1.11 97.78 89.00 G Fund F Fund  
  2017-08-27 95.56 4.44 91.11 21.50 G Fund F Fund  
  2017-08-20 93.89 6.11 87.79 15.38 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 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 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

 
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Professional TSP Advisory Returns
User Start Date Return
United States TSPTiming 2017-01-01 +1.87% *
United States TSPKey 2017-01-01 +0.35% *
United States - Minnesota TSPMillion 2017-01-01 -0.35% *
United States Relevant ** 2017-01-01 +0.88% *
United States ebbcharts 2017-01-01 -2.17% *
United States TSPFolio 2017-01-01 +0.88% *
United States BBBInvest 2017-01-01 +0.88% *
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Top Five 2018 FantasyTSP™ Returns
User Start Date Return
United States TspGuru 2018-01-01 +19.32%
United States - Virginia Powars 2018-01-01 +15.51%
United States bluesteven 2018-01-01 +14.42%
United States - Maryland wingchaser 2018-01-01 +14.09%
United States - Maryland rascal 2018-01-01 +13.07%
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Pending Allocations for Jul 20, 2018
User Pending Allocation
United States Broncostac Log in to view
United States Scout Log in to view
United States kevho22 Log in to view
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United States - Arizona phxmrc Log in to view
United States - California fordest Log in to view
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United States Atwater Log in to view
United States boogwin Log in to view
United States - Michigan tappertuba Log in to view
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TSP Share Prices for Jul 19, 2018
    Close Day YTD
   G Fund $15.7770 +0.01% +1.52%
   F Fund $17.9041 +0.16% -1.16%
   C Fund $39.8582 -0.38% +5.98%
   S Fund $53.2388 +0.27% +9.85%
   I Fund $30.2940 -0.34% -1.82%
   L 2050 $20.1083 -0.20% +3.67%
   L 2040 $34.6086 -0.18% +3.37%
   L 2030 $27.4981 -13.33% -10.54%
   L 2020 $27.4981 -0.07% +2.26%
   L Income $19.9342 -0.04% +1.96%
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)