G Fund Performance

G Fund
As of: May 17, 2024
Closing Price: 18.2563
Daily Change: 0.013%
Month to Date: 0.22%
Year to Date: 1.63%
Last 12 Months: 4.42%
Three Year Return: 10.08%
Five Year Return: 13.04%
Ten Year Return: 26.66%
Life (as of 08-31-2004): 73.37%

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OBJECTIVE
The G Fund's investment objective is to produce a rate of return that is higher than inflation while avoiding exposure to credit (default) risk and market price fluctuations.

STRATEGY
The G Fund invests exclusively in a nonmarketable short-term U.S. Treasury security that is specially issued to the TSP. The earnings consist entirely of interest income on the security.

RISKS
The G Fund is subject to inflation risk, or the possibility that your G Fund investment will not grow enough to offset the reduction in purchasing power that results from inflation.


TSP FUND QUOTES

Date L Income L 2025 L 2030 L 2035 L 2040 L 2045 L 2050 L 2055 L 2060 L 2065 G Fund F Fund C Fund S Fund I Fund
2024-05-17 25.7864 13.2411 48.0973 14.4712 54.8998 15.0546 33.0593 16.5784 16.5763 16.5740 18.2563 18.9700 83.1296 81.5412 43.4779
2024-05-16 25.7765 13.2347 48.0536 14.4571 54.8419 15.0377 33.0196 16.5512 16.5491 16.5468 18.2539 19.0161 83.0296 81.4726 43.3613
Daily Change 0.04%0.05%0.09%0.1%0.11%0.11%0.12%0.16%0.16%0.16%0.01%-0.24%0.12%0.08%0.27%
Month to Date 1.66%2.03%3.47%3.79%4.11%4.38%4.64%5.44%5.44%5.44%0.22%1.94%5.43%5.75%5.47%
Year to Date 3.54%4.19%6.33%6.77%7.22%7.61%8.01%9.64%9.64%9.63%1.63%-1.31%11.79%5.77%8.2%
Details L Income L 2025 L 2030 L 2035 L 2040 L 2045 L 2050 L 2055 L 2060 L 2065 G Fund F Fund C Fund S Fund I Fund
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