C000003827 Holdings — Thrivent Mid Cap Stock Portfolio

All 66 reported holdings of Thrivent Mid Cap Stock Portfolio (C000003827) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State St Inst US Gov Mm Fund4.33%$75.58M
Steel Dynamics, Inc.3.06%$53.33M
First Industrial Realty Trust, Inc.2.35%$41.10M
Howmet Aerospace, Inc.2.31%$40.39M
Nokia Oyj2.31%$40.36M
Arch Capital Group Ltd.2.31%$40.30M
M&t Bank Corporation2.19%$38.27M
Devon Energy Corporation2.01%$35.09M
Northern Trust Corporation1.94%$33.89M
Mettler-Toledo International, Inc.1.90%$33.10M
Onto Innovation, Inc.1.87%$32.71M
Fifth Third Bancorp1.86%$32.42M
Fastenal Company1.83%$31.97M
Timken Company1.81%$31.67M
Lincoln Electric Holdings, Inc.1.78%$31.04M
Rockwell Automation, Inc.1.76%$30.75M
Garmin Ltd.1.76%$30.74M
Quanta Services Inc.1.74%$30.33M
Monolithic Power Systems, Inc.1.66%$29.00M
Old Dominion Freight Line, Inc.1.60%$27.90M
Ulta Beauty, Inc.1.59%$27.69M
Expand Energy Corp.1.56%$27.21M
Illumina, Inc.1.55%$27.10M
Datadog, Inc.1.54%$26.97M
Ul Solutions, Inc.1.51%$26.39M
Ametek, Inc.1.47%$25.70M
Centerpoint Energy, Inc.1.47%$25.66M
Old Republic International Corporation1.46%$25.50M
Nisource, Inc.1.45%$25.24M
Alliant Energy Corp.1.42%$24.84M
Ch Robinson Worldwide, Inc.1.41%$24.66M
Caseys General Stores, Inc.1.39%$24.32M
Trimble, Inc.1.38%$24.09M
Emcor Group, Inc.1.37%$23.96M
Nvr, Inc.1.36%$23.69M
Exelixis Inc.1.34%$23.32M
Halliburton Company1.31%$22.92M
Wynn Resorts Ltd.1.31%$22.88M
Viking Holdings Ltd.1.28%$22.27M
Reddit, Inc.1.25%$21.82M
Ally Financial, Inc.1.25%$21.79M
Tenet Healthcare Corp.1.24%$21.57M
NASDAQ, Inc.1.23%$21.55M
Extra Space Storage, Inc.1.22%$21.33M
Allegion PLC1.22%$21.29M
Zebra Technologies Corporation1.21%$21.20M
United Rentals, Inc.1.21%$21.12M
Sharkninja Hong Kong Co. Ltd.1.19%$20.73M
Dexcom, Inc.1.19%$20.69M
Veeva Systems, Inc.1.18%$20.58M
Verisk Analytics, Inc.1.16%$20.26M
Jfrog Ltd.1.16%$20.18M
Western Digital Corporation1.13%$19.75M
Idex Corporation1.12%$19.56M
Wd-40 Company1.11%$19.45M
United Therapeutics Corporation1.11%$19.40M
Oshkosh Corp.1.11%$19.36M
Albemarle Corp.1.10%$19.24M
Sba Communications Corp.1.07%$18.72M
Amcor PLC1.07%$18.65M
Medpace Holdings, Inc.1.05%$18.31M
Autozone, Inc.1.03%$17.93M
Fabrinet0.99%$17.29M
Ameriprise Financial, Inc.0.93%$16.19M
Williams-Sonoma, Inc.0.92%$16.11M
Robinhood Markets, Inc.0.92%$16.09M

C000003827 overview: performance, fees, allocation and SEC filings