F Fund Performance

F Fund
As of: June 30, 2025
Closing Price: 20.2603
Daily Change: 0.135%
Month to Date: 0%
Year to Date: 4.02%
Last 12 Months: 5.32%
Three Year Return: 6.82%
Five Year Return: -3.27%
Ten Year Return: 20.78%
Life (as of 08-31-2004): 96.89%

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OBJECTIVE
The F Fund's investment objective is to match the performance of the Bloomberg Barclays U.S. Aggregate Bond Index, a broad index representing the U.S. bond market.

STRATEGY
The F Fund assets are held in a separate account and managed to track the Bloomberg Barclays U.S. Aggregate Bond Index. This broad index includes U.S. Government, mortgage-backed, corporate, and foreign government (issued in the U.S.) sectors of the U.S. bond market. The earnings consist of interest income on the securities and gains (or losses) in the value of the securities. The F Fund uses an indexing approach to investing. In other words, it is a passively managed fund that remains invested according to its investment strategy regardless of conditions in the bond market or the economy.

RISKS
Because the F Fund returns move up and down with the returns in the bond market, your F Fund investment is subject to market risk. For example, when interest rates rise, bond prices (and thus, the returns of the index and the F Fund) fall. Conversely, in an environment of falling interest rates, bond prices, as well as the index and F Fund returns, rise. As an F Fund investor, you are also exposed to credit (default) risk, or the possibility that principal and interest payments on the bonds that comprise the index will not be paid. The F Fund is subject to inflation risk, meaning your F Fund investment may not grow enough to offset the reduction in purchasing power that results from inflation. Your F Fund investment is also exposed to prepayment risk, which is the probability that if interest rates fall, bonds that are represented in the index will be paid back early thus forcing lenders to reinvest at lower rates.


TSP FUND QUOTES

Date L Income L 2030 L 2035 L 2040 L 2045 L 2050 L 2055 L 2060 L 2065 L 2070 L 2075 G Fund F Fund C Fund S Fund I Fund
2025-06-30 27.9579 54.0610 16.3639 62.4426 17.2069 37.9654 19.3201 19.3178 19.3155 11.4479 10.0000 19.1711 20.2603 98.6743 92.0521 49.7247
2025-06-26 27.8773 53.7489 16.2611 62.0189 17.0827 37.6752 19.1450 19.1428 19.1404 11.3441 0.0000 19.1616 20.2330 97.6432 91.4042 49.3273
Daily Change 0.29%0.58%0.63%0.68%0.73%0.77%0.91%0.91%0.91%0.92%INF%0.05%0.13%1.06%0.71%0.81%
Month to Date 0%0%0%0%0%0%0%0%0%0%0%0%0%0%0%0%
Year to Date 4.55%7.17%7.62%8.06%8.44%8.79%9.88%9.88%9.88%9.9%0%2.22%4.02%6.18%2.11%18.69%
Details L Income L 2030 L 2035 L 2040 L 2045 L 2050 L 2055 L 2060 L 2065 L 2070 L 2075 G Fund F Fund C Fund S Fund I Fund
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