C000003831 Holdings — Thrivent Large Cap Growth Portfolio

All 42 reported holdings of Thrivent Large Cap Growth Portfolio (C000003831) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corporation11.27%$322.31M
Apple, Inc.6.98%$199.66M
Amazon.com, Inc.6.82%$194.99M
Microsoft Corporation6.16%$176.01M
Alphabet, Inc.4.49%$128.44M
Broadcom, Inc.4.41%$126.07M
Meta Platforms, Inc.4.24%$121.24M
Alphabet, Inc.3.89%$111.33M
Tesla, Inc. (pre-Reincorporation)3.36%$96.08M
Netflix, Inc.2.76%$78.98M
Visa, Inc.2.75%$78.50M
Eli Lilly And Company2.49%$71.09M
Lam Research Corporation2.15%$61.59M
Walmart, Inc.1.97%$56.21M
Caterpillar, Inc.1.87%$53.51M
JPMorgan Chase & Co.1.80%$51.49M
Parker Hannifin Corporation1.78%$50.90M
General Electric Co.1.74%$49.64M
Home Depot, Inc.1.73%$49.38M
Taiwan Semiconductor Manufacturing Co. Ltd.1.72%$49.12M
Fastenal Company1.69%$48.45M
Palantir Technologies, Inc.1.62%$46.22M
Intuitive Surgical, Inc.1.54%$44.03M
State St Inst US Gov Mm Fund1.39%$39.80M
Arista Networks, Inc.1.32%$37.62M
American Express Company1.28%$36.47M
Shopify, Inc.1.27%$36.37M
Amgen, Inc.1.27%$36.18M
Uber Technologies, Inc.1.23%$35.17M
Eaton Corporation PLC1.22%$35.00M
Hilton Worldwide Holdings, Inc.1.18%$33.62M
Advanced Micro Devices, Inc.1.16%$33.28M
Danaher Corporation1.16%$33.19M
Constellation Energy Corp.1.11%$31.69M
Servicenow, Inc.1.10%$31.51M
International Business Machines Corp.1.10%$31.31M
Morgan Stanley0.99%$28.43M
Emcor Group, Inc.0.90%$25.66M
Intuit, Inc.0.87%$24.98M
Ishares NASDAQ Biotechnology Index Fund0.79%$22.63M
Robinhood Markets, Inc.0.72%$20.62M
Conocophillips0.69%$19.83M

C000003831 overview: performance, fees, allocation and SEC filings