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TSP Center Data Call for week of November 19, 2017:            

TSP Center - The Thrift Savings Plan Community
 
"FantasyTSP™ and Discussion Forum for the Thrift Savings Plan Investor"
 
 
--- Member Statistics ---
16,219 members, 53 online
Newest member: Awb631
United States gmation2k (profile | pm | watch | Account Topic)

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FantasyTSP Start Date Feb 9, 2016
Last Login Nov 17, 2017
FantasyTSP Balance $138,477.60
Current Allocation Log in to view
Watch Count (?) 15

5 Day Return -0.11%
15 Day Return +0.12%
30 Day Return +0.77%
90 Day Return +7.73%
180 Day Return +12.24%
1 Year Return +17.46%

Year# of AllocationsYTD Return (?)
2016 12 Allocation Changes +14.43%
2017 17 Allocation Changes +21.01%

Current Allocation Distribution
for gmation2k




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FantasyTSP™ Account Chart

 

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Top Five 2017 FantasyTSP™ Returns
User Start Date Return
United States - Colorado TSPNerd 2017-01-01 +25.10%
Isle of Man hytid 2017-01-01 +24.25%
United States Thaeland 2017-01-01 +23.89%
United States greg7895 2017-01-01 +23.29%
United States qwe 2017-01-01 +22.82%
View Leader Board
Professional TSP Advisory Returns
User Start Date Return
United States TSPKey 2017-01-01 +9.88% *
United States TSPTiming 2017-01-01 +11.21% *
United States - Minnesota TSPMillion 2017-01-01 +9.32% *
United States TSPFolio 2017-01-01 +2.94% *
United States ebbcharts 2017-01-01 +3.36% *
United States BBBInvest 2017-01-01 +1.73% *
United States Relevant ** 2017-01-01 +3.34% *
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Pending Allocations for Nov 20, 2017
User Pending Allocation
United States outlaw58d Log in to view
United States - Ohio Scarfinger Log in to view
United States josefaz Log in to view
Puerto Rico rcenteno Log in to view
United States Klaus Log in to view
United States rotorwash Log in to view
United States cletuss Log in to view
United States Ofsthun01 Log in to view
United States n8green Log in to view
United States - California denise73 Log in to view
View All 87 Pending Allocations
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TSP Share Prices for Nov 17, 2017
    Close Day YTD
   G Fund $15.4962 +0.01% +2.04%
   F Fund $18.0499 +0.04% +3.45%
   C Fund $36.2014 -0.26% +17.26%
   S Fund $46.9125 +0.43% +14.43%
   I Fund $29.8486 +0.03% +21.33%
   L 2050 $18.8202 -0.04% +15.28%
   L 2040 $32.5891 -0.04% +13.66%
   L 2030 $30.0284 -0.04% +11.90%
   L 2020 $26.4893 -0.02% +8.22%
   L Income $19.3647 -0.01% +5.18%
 
 

Allocation History

  Date Allocation Purchase Amount Sale Amount Gain/Loss ($) Gain/Loss (%)  
11/17/17 - Log in to view $138,477.60 N/A N/A N/A  
  10/23/17 - 11/17/17 Log in to view $137,486.49 $138,477.60 +$991.11 +0.72%  
  09/29/17 - 10/23/17 Log in to view $135,301.16 $137,486.49 +$2,185.33 +1.62%  
  09/26/17 - 09/29/17 Log in to view $134,761.00 $135,301.16 +$540.16 +0.40%  
  08/25/17 - 09/26/17 Log in to view $129,038.56 $134,761.00 +$5,722.44 +4.43%  
  08/04/17 - 08/25/17 Log in to view $129,241.82 $129,038.56 -$203.26 -0.16%  
  07/27/17 - 08/04/17 Log in to view $128,774.75 $129,241.82 +$467.07 +0.36%  
  07/17/17 - 07/27/17 Log in to view $127,826.37 $128,774.75 +$948.38 +0.74%  
  06/30/17 - 07/17/17 Log in to view $125,864.44 $127,826.37 +$1,961.94 +1.56%  
  06/13/17 - 06/30/17 Log in to view $126,572.16 $125,864.44 -$707.72 -0.56%  
  05/25/17 - 06/13/17 Log in to view $124,400.18 $126,572.16 +$2,171.98 +1.75%  
  05/05/17 - 05/25/17 Log in to view $123,038.50 $124,400.18 +$1,361.68 +1.11%  
  04/27/17 - 05/05/17 Log in to view $123,473.12 $123,038.50 -$434.62 -0.35%  
  03/17/17 - 04/27/17 Log in to view $121,205.71 $123,473.12 +$2,267.41 +1.87%  
  02/15/17 - 03/17/17 Log in to view $119,501.42 $121,205.71 +$1,704.29 +1.43%  
  01/25/17 - 02/15/17 Log in to view $117,611.23 $119,501.42 +$1,890.18 +1.61%  
  01/04/17 - 01/25/17 Log in to view $117,161.62 $117,611.23 +$449.61 +0.38%  
  12/09/16 - 01/04/17 Log in to view $116,620.94 $117,161.62 +$540.68 +0.46%  
  12/02/16 - 12/09/16 Log in to view $116,567.88 $116,620.94 +$53.06 +0.05%  
  11/23/16 - 12/02/16 Log in to view $118,346.72 $116,567.88 -$1,778.84 -1.50%  
  11/16/16 - 11/23/16 Log in to view $115,657.90 $118,346.72 +$2,688.82 +2.32%  
  09/22/16 - 11/16/16 Log in to view $113,924.89 $115,657.90 +$1,733.01 +1.52%  
  08/01/16 - 09/22/16 Log in to view $114,049.32 $113,924.89 -$124.44 -0.11%  
  06/30/16 - 08/01/16 Log in to view $110,132.32 $114,049.32 +$3,917.00 +3.56%  
  06/27/16 - 06/30/16 Log in to view $106,440.48 $110,132.32 +$3,691.84 +3.47%  
  05/31/16 - 06/27/16 Log in to view $104,577.52 $106,440.48 +$1,862.96 +1.78%  
  05/03/16 - 05/31/16 Log in to view $101,938.73 $104,577.52 +$2,638.79 +2.59%  
  03/07/16 - 05/03/16 Log in to view $100,135.11 $101,938.73 +$1,803.62 +1.80%  
  02/09/16 - 03/07/16 Log in to view $100,000.00 $100,135.11 +$135.11 +0.14%  
 
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)