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TSP Center Data Call for week of January 26, 2020:            

TSP Center - The Thrift Savings Plan Community
 
"FantasyTSP™ and Discussion Forum for the Thrift Savings Plan Investor"
 
 
--- Member Statistics ---
18,966 members, 63 online
Newest member: Mkfam
United States ngood2345 (profile | pm | watch | Account Topic)

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FantasyTSP Start Date Feb 9, 2018
Last Login Jan 17, 2020
FantasyTSP Balance $106,046.45
Current Allocation Log in to view
Unrealized Loss (?) -$1,391.33 (-1.30%)
Watch Count (?) 0

5 Day Return -1.30%
15 Day Return -1.03%
30 Day Return -0.71%
90 Day Return -0.32%
180 Day Return -1.95%
1 Year Return +2.58%

Year# of AllocationsYTD Return (?)
2018 19 Allocation Changes -4.00%
2019 16 Allocation Changes +11.36%
2020 1 Allocation Change -0.81%

Current Allocation Distribution
for ngood2345




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FantasyTSP™ Account Chart
Member Comparison Option Chart Range Option
Fund Comparison Option  
G   F   C   S   I
2050   2040   2030   2020   2010   Income


Overall Returns By Chart Range

  User/Fund Return  
  ngood2345 -1.25%  
 

Daily Returns By Chart Range

  Date Return  
  01/24/20 -1.10%  
  01/23/20 +0.09%  
  01/22/20 +0.12%  
  01/21/20 -0.41%  
  01/17/20 -0.10%  
  01/16/20 -0.06%  
  01/15/20 +0.14%  
  01/14/20 +0.13%  
  01/13/20 -0.07%  
 
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Top Five 2019 FantasyTSP™ Returns
User Start Date Return
United States greenta 2020-01-01 +3.21%
United States - Indiana Moneymaker 2020-01-01 +3.04%
United States decide 2020-01-01 +2.96%
United States rockets007 2020-01-01 +2.85%
United States DavidTiger 2020-01-01 +2.77%
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Pending Allocations for Jan 27, 2020
User Pending Allocation
United States v1prm0 Log in to view
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TSP Share Prices for Jan 24, 2020
    Close Day YTD
   G Fund $16.3715 +0.01% +0.13%
   F Fund $19.9719 +0.26% +1.29%
   C Fund $48.2510 -0.90% +2.10%
   S Fund $57.1416 -1.10% +1.54%
   I Fund $32.8524 +0.41% +0.42%
   L 2050 $22.7696 -0.37% +1.27%
   L 2040 $38.8702 -0.32% +1.15%
   L 2030 $35.1983 -0.26% +0.99%
   L 2020 $29.4615 -0.10% +0.53%
   L Income $21.2871 -0.08% +0.48%
 
 

FantasyTSP Balance Sheet By Chart Range

  Date Balance G Fund F Fund C Fund S Fund I Fund L 2050 L 2040 L 2030 L 2020 L 2010 L Income  
  01/24/20 $106,046.45 $0.00 $0.00 $0.00 $106,046.45 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/23/20 $107,223.25 $0.00 $0.00 $0.00 $107,223.25 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/22/20 $107,124.33 $0.00 $0.00 $0.00 $107,124.33 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/21/20 $106,999.06 $0.00 $0.00 $0.00 $106,999.06 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/17/20 $107,437.78 $0.00 $107,437.78 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/16/20 $107,547.31 $0.00 $107,547.31 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/15/20 $107,608.58 $0.00 $107,608.58 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/14/20 $107,454.59 $0.00 $107,454.59 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/13/20 $107,315.24 $0.00 $107,315.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  
  01/10/20 $107,388.44 $0.00 $107,388.44 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00  


Allocation History

  Date Allocation Purchase Amount Sale Amount Gain/Loss ($) Gain/Loss (%)  
01/17/20 - Log in to view $107,437.78 N/A -$1,391.33 -1.30%  
  10/02/19 - 01/17/20 Log in to view $107,099.98 $107,437.78 +$337.81 +0.32%  
  09/12/19 - 10/02/19 Log in to view $107,005.24 $107,099.98 +$94.74 +0.09%  
  09/05/19 - 09/12/19 Log in to view $104,773.55 $107,005.24 +$2,231.69 +2.13%  
  09/04/19 - 09/05/19 Log in to view $105,351.10 $104,773.55 -$577.55 -0.55%  
  08/19/19 - 09/04/19 Log in to view $105,254.56 $105,351.10 +$96.54 +0.09%  
  08/14/19 - 08/19/19 Log in to view $105,285.05 $105,254.56 -$30.49 -0.03%  
  08/08/19 - 08/14/19 Log in to view $109,937.42 $105,285.05 -$4,652.37 -4.23%  
  04/22/19 - 08/08/19 Log in to view $104,434.37 $109,937.42 +$5,503.05 +5.27%  
  04/12/19 - 04/22/19 Log in to view $105,777.26 $104,434.37 -$1,342.90 -1.27%  
  03/21/19 - 04/12/19 Log in to view $105,609.86 $105,777.26 +$167.41 +0.16%  
  03/18/19 - 03/21/19 Log in to view $105,566.82 $105,609.86 +$43.04 +0.04%  
  03/07/19 - 03/18/19 Log in to view $105,224.29 $105,566.82 +$342.53 +0.33%  
  02/28/19 - 03/07/19 Log in to view $105,169.28 $105,224.29 +$55.00 +0.05%  
  02/25/19 - 02/28/19 Log in to view $105,685.14 $105,169.28 -$515.86 -0.49%  
  01/31/19 - 02/25/19 Log in to view $105,497.57 $105,685.14 +$187.57 +0.18%  
  01/07/19 - 01/31/19 Log in to view $97,872.10 $105,497.57 +$7,625.47 +7.79%  
  12/12/18 - 01/07/19 Log in to view $98,975.06 $97,872.10 -$1,102.95 -1.11%  
  12/06/18 - 12/12/18 Log in to view $98,909.97 $98,975.06 +$65.08 +0.07%  
  10/16/18 - 12/06/18 Log in to view $102,638.21 $98,909.97 -$3,728.24 -3.63%  
  10/05/18 - 10/16/18 Log in to view $102,545.20 $102,638.21 +$93.01 +0.09%  
  09/18/18 - 10/05/18 Log in to view $103,675.66 $102,545.20 -$1,130.46 -1.09%  
  09/10/18 - 09/18/18 Log in to view $103,610.28 $103,675.66 +$65.39 +0.06%  
  08/27/18 - 09/10/18 Log in to view $104,280.26 $103,610.28 -$669.99 -0.64%  
  08/14/18 - 08/27/18 Log in to view $104,168.26 $104,280.26 +$112.01 +0.11%  
  07/05/18 - 08/14/18 Log in to view $104,969.84 $104,168.26 -$801.58 -0.76%  
  06/06/18 - 07/05/18 Log in to view $105,327.54 $104,969.84 -$357.70 -0.34%  
  05/11/18 - 06/06/18 Log in to view $105,112.51 $105,327.54 +$215.03 +0.20%  
  05/03/18 - 05/11/18 Log in to view $101,266.38 $105,112.51 +$3,846.13 +3.80%  
  04/24/18 - 05/03/18 Log in to view $101,197.29 $101,266.38 +$69.10 +0.07%  
  04/11/18 - 04/24/18 Log in to view $100,830.98 $101,197.29 +$366.31 +0.36%  
  03/27/18 - 04/11/18 Log in to view $100,714.40 $100,830.98 +$116.57 +0.12%  
  03/09/18 - 03/27/18 Log in to view $106,026.05 $100,714.40 -$5,311.65 -5.01%  
  03/08/18 - 03/09/18 Log in to view $106,017.90 $106,026.05 +$8.15 +0.01%  
  02/14/18 - 03/08/18 Log in to view $103,057.99 $106,017.90 +$2,959.91 +2.87%  
  02/09/18 - 02/14/18 Log in to view $100,000.00 $103,057.99 +$3,057.99 +3.06%  
 
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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