Average Annualized Returns
Public Offering Price: The price at which the fund is offered to the public including any sales charge.
Net Asset Value: The NAV is the fund’s value or price per share. The NAV is calculated by dividing the market value of all the fund’s shares (minus its liabilities) by the number of issued shares.
Max Sales Charge: The sales charge applied at the time of an initial purchase of mutual fund shares. The charge is deducted from the amount being invested, so a front-end load lowers the size of the investment. This only applies to A shares.
Money Market 7 Day Current: The yield generated by an investment in the fund over a 7-day period ended on the date of the calculation and expressed as an annual percentage.
Money Market 7 Day Effective: Similar to the 7-Day Current, except that the effective yield assumes that income earned from the fund's investments is reinvested and generating additional income. It’s expressed as an annual percentage.
Gross Expense Ratio: This figure represents the total percentage of a mutual fund’s assets used to maintain the fund, including operating expenses and management fees. It does not include the impact of any fee waivers or expense reimbursements that may have been in effect during the time period. It’s calculated by dividing the fund’s annual operating expenses by the average dollar value of its assets.
Net Expense Ratio: This figure represents the total percentage of a mutual fund’s assets used to maintain the fund, including operating expenses and management fees. It’s calculated by dividing the fund’s annual net operating expenses by the average dollar value of its assets, and includes the impact of any fee waivers or expense reimbursements that may have been in effect during the time period.
Performance shown assumes the reinvestment of all dividends and capital gains. Performance of other share classes will vary from the results shown based on differences in sales charges and expenses.
Returns for periods of less than one year are not annualized.
Public Offering Price: The price at which the fund is offered to the public including any sales charge.
Net Asset Value: The NAV is the fund’s value or price per share. The NAV is calculated by dividing the market value of all the fund’s shares (minus its liabilities) by the number of issued shares.
Max Sales Charge: The sales charge applied at the time of an initial purchase of mutual fund shares. The charge is deducted from the amount being invested, so a front-end load lowers the size of the investment. This only applies to A shares.
Money Market 7 Day Current: The yield generated by an investment in the fund over a 7-day period ended on the date of the calculation and expressed as an annual percentage.
Money Market 7 Day Effective: Similar to the 7-Day Current, except that the effective yield assumes that income earned from the fund's investments is reinvested and generating additional income. It’s expressed as an annual percentage.
Gross Expense Ratio: This figure represents the total percentage of a mutual fund’s assets used to maintain the fund, including operating expenses and management fees. It does not include the impact of any fee waivers or expense reimbursements that may have been in effect during the time period. It’s calculated by dividing the fund’s annual operating expenses by the average dollar value of its assets.
Net Expense Ratio: This figure represents the total percentage of a mutual fund’s assets used to maintain the fund, including operating expenses and management fees. It’s calculated by dividing the fund’s annual net operating expenses by the average dollar value of its assets, and includes the impact of any fee waivers or expense reimbursements that may have been in effect during the time period.
Performance shown assumes the reinvestment of all dividends and capital gains. Performance of other share classes will vary from the results shown based on differences in sales charges and expenses.
Returns for periods of less than one year are not annualized.
Fund Name | YTD Return | 1 Year | 3 Year | 5 Year | 10 Year | Since Inception | Date of Inception | Gross Expense Ratio | Net Expense Ratio | Show details | |
---|---|---|---|---|---|---|---|---|---|---|---|
Thrivent Aggressive Allocation Fund1 | 16.01% | 28.12% | 6.34% | 11.29% | 9.59% | 8.40% | 06/30/2005 | 1.18% | 1.00% | ||
YTD Return
16.01%
1 Year
28.12%
3 Year
6.34%
5 Year
11.29%
10 Year
9.59%
Since Inception
8.40%
Date of Inception
06/30/2005
Gross Expense Ratio
1.18%
Net Expense Ratio
1.00%
|
|||||||||||
Thrivent Moderately Aggressive Allocation Fund1 | 14.68% | 25.83% | 5.31% | 9.24% | 8.13% | 7.49% | 06/30/2005 | 1.12% | 0.89% | ||
YTD Return
14.68%
1 Year
25.83%
3 Year
5.31%
5 Year
9.24%
10 Year
8.13%
Since Inception
7.49%
Date of Inception
06/30/2005
Gross Expense Ratio
1.12%
Net Expense Ratio
0.89%
|
|||||||||||
Thrivent Moderate Allocation Fund1 | 13.28% | 23.82% | 4.71% | 7.98% | 6.99% | 6.72% | 06/30/2005 | 0.99% | 0.80% | ||
YTD Return
13.28%
1 Year
23.82%
3 Year
4.71%
5 Year
7.98%
10 Year
6.99%
Since Inception
6.72%
Date of Inception
06/30/2005
Gross Expense Ratio
0.99%
Net Expense Ratio
0.80%
|
|||||||||||
Thrivent Moderately Conservative Allocation Fund1 | 9.94% | 19.10% | 2.50% | 4.94% | 4.95% | 5.28% | 06/30/2005 | 0.93% | 0.78% | ||
YTD Return
9.94%
1 Year
19.10%
3 Year
2.50%
5 Year
4.94%
10 Year
4.95%
Since Inception
5.28%
Date of Inception
06/30/2005
Gross Expense Ratio
0.93%
Net Expense Ratio
0.78%
|
|||||||||||
Thrivent Balanced Income Plus Fund | 10.04% | 18.83% | 3.32% | 6.47% | 5.83% | 6.02% | 12/29/1997 | 0.78% | 0.78% | ||
YTD Return
10.04%
1 Year
18.83%
3 Year
3.32%
5 Year
6.47%
10 Year
5.83%
Since Inception
6.02%
Date of Inception
12/29/1997
Gross Expense Ratio
0.78%
Net Expense Ratio
0.78%
|
|||||||||||
Thrivent Diversified Income Plus Fund | 8.29% | 16.21% | 1.99% | 4.15% | 4.40% | 4.80% | 12/29/1997 | 0.70% | 0.70% | ||
YTD Return
8.29%
1 Year
16.21%
3 Year
1.99%
5 Year
4.15%
10 Year
4.40%
Since Inception
4.80%
Date of Inception
12/29/1997
Gross Expense Ratio
0.70%
Net Expense Ratio
0.70%
|
|||||||||||
Thrivent Opportunity Income Plus Fund | 6.33% | 12.82% | 1.33% | 2.16% | 2.86% | 4.27% | 12/29/1997 | 0.67% | 0.67% | ||
YTD Return
6.33%
1 Year
12.82%
3 Year
1.33%
5 Year
2.16%
10 Year
2.86%
Since Inception
4.27%
Date of Inception
12/29/1997
Gross Expense Ratio
0.67%
Net Expense Ratio
0.67%
|
|||||||||||
Thrivent Global Stock Fund | 16.76% | 30.01% | 7.06% | 11.73% | 9.03% | 6.69% | 12/29/1997 | 0.67% | 0.67% | ||
YTD Return
16.76%
1 Year
30.01%
3 Year
7.06%
5 Year
11.73%
10 Year
9.03%
Since Inception
6.69%
Date of Inception
12/29/1997
Gross Expense Ratio
0.67%
Net Expense Ratio
0.67%
|
|||||||||||
Thrivent International Allocation Fund | 12.23% | 24.44% | 3.92% | 6.82% | 4.83% | 3.64% | 02/29/2008 | 0.81% | 0.81% | ||
YTD Return
12.23%
1 Year
24.44%
3 Year
3.92%
5 Year
6.82%
10 Year
4.83%
Since Inception
3.64%
Date of Inception
02/29/2008
Gross Expense Ratio
0.81%
Net Expense Ratio
0.81%
|
|||||||||||
Thrivent Large Cap Growth Fund | 25.76% | 43.42% | 9.41% | 18.74% | 14.99% | 7.47% | 10/29/1999 | 0.76% | 0.76% | ||
YTD Return
25.76%
1 Year
43.42%
3 Year
9.41%
5 Year
18.74%
10 Year
14.99%
Since Inception
7.47%
Date of Inception
10/29/1999
Gross Expense Ratio
0.76%
Net Expense Ratio
0.76%
|
|||||||||||
Thrivent Large Cap Value Fund | 14.47% | 26.20% | 10.14% | 12.94% | 10.40% | 7.22% | 10/29/1999 | 0.56% | 0.56% | ||
YTD Return
14.47%
1 Year
26.20%
3 Year
10.14%
5 Year
12.94%
10 Year
10.40%
Since Inception
7.22%
Date of Inception
10/29/1999
Gross Expense Ratio
0.56%
Net Expense Ratio
0.56%
|
|||||||||||
Thrivent Mid Cap Growth Fund2 | 9.24% | 19.87% | -2.32% | N/A | N/A | 10.32% | 02/28/2020 | 1.82% | 0.90% | ||
YTD Return
9.24%
1 Year
19.87%
3 Year
-2.32%
5 Year
N/A
10 Year
N/A
Since Inception
10.32%
Date of Inception
02/28/2020
Gross Expense Ratio
1.82%
Net Expense Ratio
0.90%
|
|||||||||||
Thrivent Mid Cap Stock Fund | 11.76% | 21.78% | 4.15% | 11.77% | 11.49% | 9.52% | 12/29/1997 | 0.75% | 0.75% | ||
YTD Return
11.76%
1 Year
21.78%
3 Year
4.15%
5 Year
11.77%
10 Year
11.49%
Since Inception
9.52%
Date of Inception
12/29/1997
Gross Expense Ratio
0.75%
Net Expense Ratio
0.75%
|
|||||||||||
Thrivent Mid Cap Value Fund2 | 9.68% | 21.62% | 8.57% | N/A | N/A | 16.01% | 02/28/2020 | 1.56% | 0.90% | ||
YTD Return
9.68%
1 Year
21.62%
3 Year
8.57%
5 Year
N/A
10 Year
N/A
Since Inception
16.01%
Date of Inception
02/28/2020
Gross Expense Ratio
1.56%
Net Expense Ratio
0.90%
|
|||||||||||
Thrivent Small Cap Growth Fund2 | 10.89% | 20.90% | -1.54% | 12.26% | N/A | 10.74% | 02/28/2018 | 1.14% | 0.95% | ||
YTD Return
10.89%
1 Year
20.90%
3 Year
-1.54%
5 Year
12.26%
10 Year
N/A
Since Inception
10.74%
Date of Inception
02/28/2018
Gross Expense Ratio
1.14%
Net Expense Ratio
0.95%
|
|||||||||||
Thrivent Small Cap Stock Fund | 12.82% | 25.70% | 5.87% | 13.69% | 12.27% | 9.32% | 12/29/1997 | 0.81% | 0.81% | ||
YTD Return
12.82%
1 Year
25.70%
3 Year
5.87%
5 Year
13.69%
10 Year
12.27%
Since Inception
9.32%
Date of Inception
12/29/1997
Gross Expense Ratio
0.81%
Net Expense Ratio
0.81%
|
|||||||||||
Thrivent Government Bond Fund2 | 4.62% | 11.35% | -0.74% | 0.45% | 1.51% | 2.07% | 02/26/2010 | 0.70% | 0.52% | ||
YTD Return
4.62%
1 Year
11.35%
3 Year
-0.74%
5 Year
0.45%
10 Year
1.51%
Since Inception
2.07%
Date of Inception
02/26/2010
Gross Expense Ratio
0.70%
Net Expense Ratio
0.52%
|
|||||||||||
Thrivent High Income Municipal Bond Fund2 | 6.94% | 16.13% | -0.26% | 1.66% | N/A | 3.04% | 02/28/2018 | 1.22% | 0.60% | ||
YTD Return
6.94%
1 Year
16.13%
3 Year
-0.26%
5 Year
1.66%
10 Year
N/A
Since Inception
3.04%
Date of Inception
02/28/2018
Gross Expense Ratio
1.22%
Net Expense Ratio
0.60%
|
|||||||||||
Thrivent High Yield Fund | 6.80% | 13.59% | 2.61% | 3.39% | 4.02% | 4.75% | 10/31/1997 | 0.55% | 0.55% | ||
YTD Return
6.80%
1 Year
13.59%
3 Year
2.61%
5 Year
3.39%
10 Year
4.02%
Since Inception
4.75%
Date of Inception
10/31/1997
Gross Expense Ratio
0.55%
Net Expense Ratio
0.55%
|
|||||||||||
Thrivent Income Fund | 6.00% | 14.61% | -0.91% | 1.81% | 3.16% | 4.77% | 10/31/1997 | 0.47% | 0.47% | ||
YTD Return
6.00%
1 Year
14.61%
3 Year
-0.91%
5 Year
1.81%
10 Year
3.16%
Since Inception
4.77%
Date of Inception
10/31/1997
Gross Expense Ratio
0.47%
Net Expense Ratio
0.47%
|
|||||||||||
Thrivent Limited Maturity Bond Fund | 5.42% | 8.82% | 2.27% | 2.41% | 2.31% | 3.25% | 10/29/1999 | 0.43% | 0.43% | ||
YTD Return
5.42%
1 Year
8.82%
3 Year
2.27%
5 Year
2.41%
10 Year
2.31%
Since Inception
3.25%
Date of Inception
10/29/1999
Gross Expense Ratio
0.43%
Net Expense Ratio
0.43%
|
|||||||||||
Thrivent Money Market Fund | 3.88% | 5.20% | 3.30% | 2.11% | 1.40% | 1.98% | 12/29/1997 | 0.36% | 0.36% | ||
YTD Return
3.88%
1 Year
5.20%
3 Year
3.30%
5 Year
2.11%
10 Year
1.40%
Since Inception
1.98%
Date of Inception
12/29/1997
Gross Expense Ratio
0.36%
Net Expense Ratio
0.36%
|
|||||||||||
Thrivent Municipal Bond Fund | 3.53% | 12.61% | -0.06% | 1.26% | 2.34% | 4.05% | 10/31/1997 | 0.56% | 0.51% | ||
YTD Return
3.53%
1 Year
12.61%
3 Year
-0.06%
5 Year
1.26%
10 Year
2.34%
Since Inception
4.05%
Date of Inception
10/31/1997
Gross Expense Ratio
0.56%
Net Expense Ratio
0.51%
|
|||||||||||
Money Market 7-Day Current Yield With Reimbursement3 : 4.58% | |||||||||||
Money Market 7-Day Current Yield Without Reimbursement3 : 4.58% |
All data represents past performance. Past performance does not guarantee future results. Investment return and principal value of the investment will fluctuate so that an investor’s shares, when redeemed may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted.
You could lose money by investing in Thrivent Money Market Fund. Although the Fund seeks to present the value of our investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund's sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time.
1 The Adviser has contractually agreed, for as long as the current fee structure is in place, to waive certain investment advisory fees associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.
2 The Adviser has contractually agreed, for a period of one year from the date of the most recent prospectus, to waive certain fees and/or reimburse certain expenses associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.
3 The yield quotation more closely reflects the current earnings of the Thrivent Money Market Fund than the total return quotation. The 7-Day Yield Without Reimbursement is the yield without any fee reimbursements applied.