C000183144 Holdings — Thrivent Low Volatility Equity Portfolio

All 145 reported holdings of Thrivent Low Volatility Equity Portfolio (C000183144) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Motorola Solutions Inc2.76%$1.38M
Novartis Ag Basel2.62%$1.31M
Verizon Communications, Inc.2.37%$1.18M
Cisco System Inc2.22%$1.11M
Thrivent Mutual Funds2.15%$1.07M
Colgate PalmolIVe Co2.14%$1.06M
Waste Mgmt, Inc. Del2.01%$999.50K
Marsh & Mclennan Cos Inc1.97%$979.43K
Vertex Pharmaceuticals Inc1.90%$946.81K
Mcdonalds Corp1.88%$936.79K
Merck & Co., Inc. New1.66%$827.85K
Cboe Holdings Inc1.60%$797.58K
Republic Svcs Inc1.54%$769.39K
Gilead Sciences Inc1.54%$765.07K
Kyocera Corp1.53%$761.23K
Mondelez Intl, Inc.1.47%$734.69K
Japan Post Holdings Company Ltd1.45%$721.62K
Nippon Telegraph & Telephone Corp1.38%$687.08K
Microsoft Corp.1.37%$682.49K
Koninklijke Kpn N V1.30%$650.18K
Johnson & Johnson1.25%$624.54K
Electronic Arts Inc1.25%$620.85K
Heiwa Corp1.24%$615.78K
Laboratorios Farmaceuticos Rovi Sa1.23%$610.73K
Cme Group Inc1.21%$601.79K
Roper Technologies Inc1.20%$598.61K
Walmart Inc1.19%$595.17K
Alimentation Couche-Tard Inc.1.19%$593.88K
Brown & Brown Inc1.18%$588.76K
Northern Sts Power Company Minn1.18%$588.26K
Lafargeholcim Ltd1.16%$576.76K
Verisign Inc1.15%$574.12K
Hartford Financial Svcs Group Inc1.13%$561.21K
O Reilly Automotive, Inc. New1.10%$550.21K
Ncr Corporation New1.09%$545.28K
Mizuho Financial Group1.09%$545.13K
Galenica Sante Ag1.07%$533.31K
Abbvie Inc1.02%$510.27K
Kimberly-Clark Corp0.99%$494.48K
Koninklijke Ahold Delhaize N V0.97%$485.81K
Pepsiamericas Inc0.97%$481.93K
Evergy Inc0.94%$470.32K
Deutsche Telekom Ag0.94%$468.65K
Comfortdelgro Corporation Ltd0.90%$450.62K
Berkshire Hathaway Inc Del0.90%$447.07K
Te ConnectIVity Ltd0.89%$442.87K
Repsol S A0.88%$440.43K
Constellation Software Inc0.84%$420.68K
Kaken Pharmaceutical Company Ltd0.84%$416.54K
Lockheed Martin Corp0.81%$404.98K
Swisscom Ag Ittigen0.80%$396.43K
Buzzi Unicem Spa0.79%$395.83K
Procter & Gamble Company0.79%$393.83K
Sumitomo Mitsui Trust Holdingsinc0.72%$360.80K
Keysight Technologies Inc0.72%$357.33K
ProgressIVe Corporation Oh0.71%$352.90K
Check Point Softwaretechnologies Ltd0.69%$342.70K
Alliant Energy Corp0.68%$338.59K
Lilly Eli & Co0.68%$337.58K
Csx Corp0.66%$331.22K
Aon Plc0.64%$318.53K
Chubb Ltd0.63%$315.28K
T-Mobile Us Inc0.63%$312.19K
Coca Cola Co.0.62%$309.53K
Texas Instrs, Inc.0.61%$305.02K
Amgen Inc0.61%$304.95K
Clp Holdings Ltd0.60%$299.26K
Lilly Eli & Co0.58%$290.63K
Regeneron Pharmaceuticals Inc0.58%$289.03K
Medipal Holdings Corp0.54%$269.84K
Unitedhealth Group Inc0.54%$269.40K
LPL Financial Holdings Inc.0.54%$267.85K
Sekisui House Ltd0.53%$264.48K
Cadence Design System Inc0.52%$257.89K
Kroger Co0.49%$243.16K
Automatic Data Processing Inc0.49%$242.51K
Wolters Kluwer N V0.48%$239.78K
Intercontinental Exchange Inc0.48%$239.56K
Mediobanca Banca Di Credito Finanziario Spa0.45%$223.54K
Accenture0.44%$221.49K
Takeda Pharmaceutical Company Ltd0.44%$220.48K
Thomson Reuters Corp0.42%$209.53K
Boston Scientific Corp.0.41%$206.77K
Eversource Energy0.41%$205.06K
Alphabet Inc0.40%$198.64K
Citic Telecom International Holdings Ltd.0.40%$197.78K
PSP Swiss Property AG0.39%$196.41K
Jxtg Hldgs0.39%$196.35K
DNB Bank ASA0.37%$186.14K
Ametek Inc New0.36%$181.38K
Dollarama Inc0.36%$177.13K
Amphenol Corp. New0.35%$174.62K
Waste Connections Inc0.35%$174.66K
GIVaudan Sa0.34%$170.52K
Fastenal Co0.33%$166.90K
Portland General Electric Co0.32%$159.25K
Apple Inc0.32%$158.60K
Seino Holdings Company Ltd0.32%$157.06K
International Business Machs Corp0.30%$149.60K
Technology One Limited0.30%$148.44K
Deutsche Boerse Ag Frankfurt Am Main0.28%$139.81K
Ecolab Inc0.27%$134.71K
Servicenow Inc0.26%$129.01K
Keurig Dr Pepper Inc0.26%$127.09K
Inficon Holding Ag Bad Ragaz0.26%$127.09K
Visa Inc0.25%$122.57K
Church & Dwight Company Inc Iam Commercial Paper 4a20.24%$120.27K
Tradeweb Mkts Inc0.23%$113.74K
Abb Limited Zuerich0.23%$113.12K
Pnm Res, Inc.0.20%$100.72K
Aak Ab0.20%$100.46K
Shell PLC0.20%$99.17K
Mastercard Inc0.19%$93.08K
Suncor Energy Inc New0.18%$88.36K
Loblaw Cos Ltd0.17%$87.24K
Flughafen Zuerich Ag0.17%$82.57K
Evn Ag Maria Enzersdorf Am Gebirge0.15%$73.33K
Europris Asa0.15%$72.42K
Fortum Corporation0.15%$72.35K
Kddi Corp0.14%$68.88K
Novo-Nordisk As Vormals Novoindustri As0.13%$64.82K
Dominion Energy Midstream Partners Lp0.13%$63.06K
Gaztransport Technigaz0.12%$61.88K
Paychex Inc0.12%$58.45K
Asm Pacific Technology Ltd0.12%$58.16K
Yangzijiang Shipbuilding Holdings Ltd0.11%$57.02K
Pfizer Inc0.11%$53.67K
Yue Yuen Industrial Holdings Ltd0.11%$52.98K
Indra Sistemas0.10%$50.31K
Nasdaq Inc0.10%$49.23K
First Ctzns Bancshares Inc Del0.09%$47.14K
Ck Hutchison Holdings Ltd0.07%$35.78K
Advanced Medical Optics Inc0.07%$35.43K
Chocoladefabriken Lindt &Spruengli Ag Kilchberg0.07%$35.04K
Intuit Inc0.06%$28.26K
Next Group Plc0.04%$22.25K
Grainger W W Inc0.03%$16.24K
Allstate Corp0.03%$13.73K
Sun Hung Kai Pptys Ltd0.03%$13.00K
DBS Group Holdings Ltd0.02%$7.90K
Bae System Plc0.01%$6.65K
Southern Co0.01%$5.82K
Bank Hapoalim B M0.01%$4.84K
Banco Bilbao Vizcaya Argentaria, S.A.0.01%$4.67K
Morgan Stanley & Co0.00%$1.28K

C000183144 overview: performance, fees, allocation and SEC filings