C000195231 Holdings — Thrivent Core International Equity Fund

All 313 reported holdings of Thrivent Core International Equity Fund (C000195231) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Asml Holding NV3.00%$24.20M
Novartis AG2.44%$19.67M
Abb Ltd.2.02%$16.34M
Allianz SE1.97%$15.91M
Shell PLC1.93%$15.58M
Bhp Group Ltd.1.81%$14.62M
Roche Holding AG1.57%$12.69M
Thrivent Mutual Funds1.56%$12.61M
Unicredit Spa1.53%$12.39M
Gsk PLC1.49%$12.03M
Bnp Paribas SA1.46%$11.78M
Enel Spa1.37%$11.04M
Axa SA1.36%$10.99M
Koninklijke Ahold Delhaize NV1.32%$10.66M
Banco Santander SA1.28%$10.32M
Astrazeneca PLC1.20%$9.73M
Advantest Corporation1.16%$9.37M
Safran SA1.04%$8.40M
Ubs Group AG1.03%$8.31M
Barclays PLC1.02%$8.24M
Deutsche Post AG1.01%$8.18M
Investor Ab1.00%$8.09M
Edp SA0.99%$8.03M
Ck Hutchison Holdings Ltd.0.99%$8.03M
Legrand SA0.93%$7.47M
Rio Tinto Ltd.0.88%$7.09M
Commonwealth Bank Of Australia0.85%$6.86M
Mitsubishi Ufj Financial Group, Inc.0.85%$6.86M
Sap SE0.85%$6.85M
Tokyo Electron Ltd.0.84%$6.78M
Ferrovial NV0.84%$6.75M
Tesco PLC0.83%$6.68M
Tokio Marine Holdings, Inc.0.81%$6.53M
Banco De Sabadell SA0.81%$6.52M
Anheuser Busch Inbev SA0.80%$6.50M
Imperial Brands PLC0.80%$6.49M
Sandvik Ab0.80%$6.43M
Sony Group Corp.0.75%$6.09M
Assicurazioni Generali Spa0.74%$5.98M
Galderma Group AG0.72%$5.82M
Mitsubishi Heavy Industries Ltd.0.71%$5.72M
Prosus NV0.70%$5.67M
Zurich Insurance Group AG0.68%$5.50M
Singapore Exchange Ltd.0.67%$5.41M
Banco Bilbao Vizcaya Argentaria SA0.67%$5.38M
Assa Abloy Ab0.65%$5.24M
Lloyds Banking Group PLC0.64%$5.20M
Hsbc Holdings PLC0.64%$5.18M
Next PLC0.63%$5.06M
Heidelberg Materials AG0.60%$4.87M
Hoya Corp.0.60%$4.84M
Aercap Holdings NV0.59%$4.77M
Bp PLC0.59%$4.73M
Muenchener Rueckversicherungs Gesellschaft In Muenchen AG0.58%$4.66M
L Air Liquide SA Pour L Etude Et L Explo Des Procedes Georges Claude SA0.57%$4.60M
Recruit Holdings Co. Ltd.0.57%$4.60M
Telstra Group Ltd.0.56%$4.56M
Kddi Corporation0.55%$4.47M
Nestle SA0.55%$4.40M
Asm International NV0.54%$4.35M
Credit Agricole SA0.53%$4.31M
Hitachi Ltd.0.53%$4.30M
Unipol Assicurazioni Spa0.53%$4.28M
Sompo Holdings, Inc.0.53%$4.27M
Toyota Motor Corporation0.52%$4.21M
Softbank Group Corp.0.50%$4.07M
Natwest Group PLC0.49%$3.95M
Italgas Spa0.48%$3.90M
Uol Group Ltd.0.47%$3.82M
Daiichi Life Group, Inc.0.46%$3.73M
Repsol SA0.46%$3.71M
Wh Group Ltd.0.46%$3.69M
Qbe Insurance Group Ltd.0.45%$3.62M
Diploma PLC0.44%$3.58M
Novo Nordisk A/s0.44%$3.58M
Jx Advanced Metals Corp.0.44%$3.55M
Standard Chartered PLC0.43%$3.50M
Itochu Corporation0.43%$3.48M
Halma PLC0.43%$3.48M
Totalenergies SE0.43%$3.46M
Yangzijiang Shipbuilding Holdings Ltd.0.43%$3.44M
Sbm Offshore NV0.42%$3.37M
Kioxia Holdings Corp.0.39%$3.17M
Brambles Ltd.0.39%$3.16M
Aena Sme SA0.39%$3.12M
Orica Ltd.0.38%$3.03M
Honda Motor Co. Ltd.0.37%$2.99M
Logista Integral SA0.37%$2.98M
Singapore Technologies Engineering Ltd.0.37%$2.97M
Daiwa Securities Group, Inc.0.36%$2.87M
Vodafone Group PLC0.35%$2.87M
Ntt, Inc.0.35%$2.85M
Lvmh Moet Hennessy Louis Vuitton SE0.35%$2.82M
Sumitomo Electric Industries Ltd.0.34%$2.78M
Sumitomo Mitsui Financial Group, Inc.0.34%$2.77M
Takeda Pharmaceutical Co. Ltd.0.33%$2.69M
Fast Retailing Co. Ltd.0.33%$2.68M
Westpac Banking Corp.0.33%$2.67M
Balfour Beatty PLC0.33%$2.66M
Ackermans & Van Haaren NV0.32%$2.61M
Deutsche Telekom AG0.32%$2.60M
Mizuho Financial Group, Inc.0.32%$2.57M
Nippon Yusen Kk0.31%$2.50M
Industrivarden Ab0.31%$2.49M
National Australia Bank Ltd.0.30%$2.45M
Societe Generale SA0.30%$2.44M
Telefonaktiebolaget Lm Ericsson0.30%$2.42M
Orix Corporation0.29%$2.35M
Keyence Corp.0.29%$2.34M
Sojitz Corp.0.29%$2.34M
Schindler Holding AG0.29%$2.32M
Engie SA0.28%$2.30M
Gpt Group0.28%$2.27M
Anz Group Holdings Ltd.0.28%$2.23M
Japan Exchange Group, Inc.0.27%$2.18M
Mitsui & Co. Ltd.0.27%$2.18M
Vinci SA0.27%$2.15M
Eni Spa0.26%$2.12M
Naturgy Energy Group SA0.26%$2.12M
Nn Group NV0.26%$2.06M
Chugai Pharmaceutical Co. Ltd.0.25%$2.05M
Bank Hapoalim Bm0.25%$2.00M
Sun Hung Kai Properties Ltd.0.24%$1.94M
Amada Co. Ltd.0.24%$1.93M
Bridgestone Corporation0.24%$1.93M
Rio Tinto PLC0.24%$1.91M
Fresenius SE & Co. Kgaa0.23%$1.82M
Nitto Denko Corporation0.23%$1.82M
Inaba Denkisangyo Co. Ltd.0.22%$1.75M
Acs Actividades De Construccion Y Servicios SA0.21%$1.71M
Bae Systems PLC0.21%$1.69M
Sony Financial Group, Inc.0.21%$1.68M
Nec Corporation0.21%$1.66M
Softbank Corp.0.20%$1.65M
Siemens AG0.20%$1.64M
Deutsche Boerse AG0.20%$1.63M
Jardine Matheson Holdings Ltd.0.20%$1.62M
Mitsubishi Corporation0.19%$1.57M
Sumitomo Corporation0.19%$1.57M
Sekisui House Ltd.0.19%$1.55M
Hochtief AG0.19%$1.55M
Canon, Inc.0.19%$1.55M
J.p. Morgan0.19%$1.52M
Nomura Holdings, Inc.0.18%$1.45M
Dai Nippon Printing Co. Ltd.0.18%$1.45M
Mitsubishi Electric Corporation0.18%$1.42M
Merlin Properties Socimi SA0.18%$1.42M
Shimizu Corp.0.17%$1.41M
Nordea Bank Abp0.17%$1.39M
Tv Asahi Holdings Corp.0.17%$1.39M
Ucb SA0.17%$1.36M
Ms&ad Insurance Group Holdings, Inc.0.17%$1.35M
Siemens Energy AG0.17%$1.34M
Lottomatica Group Spa0.17%$1.34M
Iss A/s0.16%$1.32M
Ono Pharmaceutical Co. Ltd.0.16%$1.31M
Dexus Property Group0.16%$1.31M
Games Workshop Group PLC0.16%$1.30M
Seiko Epson Corp.0.16%$1.27M
Kajima Corporation0.15%$1.25M
Ig Group Holdings PLC0.15%$1.24M
Mitsubishi Chemical Group Corp.0.15%$1.24M
Gea Group AG0.15%$1.23M
Japan Post Holdings Co. Ltd.0.15%$1.19M
Ageas SA0.15%$1.19M
State St Inst US Gov Mm Fund0.15%$1.17M
Yara International Asa0.14%$1.16M
Kingfisher PLC0.14%$1.15M
Ipsen SA0.14%$1.14M
Taisei Corporation0.14%$1.14M
Cosmo Energy Holdings Co. Ltd.0.14%$1.12M
Fujitsu Ltd.0.13%$1.09M
Capitaland Integrated Commercial Trust0.13%$1.09M
Bezeq Israeli Telecommunication Corp. Ltd.0.13%$1.08M
Inpex Corp.0.13%$1.05M
Bouygues SA0.13%$1.04M
Endeavour Mining PLC0.13%$1.02M
Nippon Express Holdings, Inc.0.12%$979.66K
Marubeni Corp.0.12%$969.14K
Aurizon Holdings Ltd.0.12%$960.39K
Check Point Software Technologies Ltd.0.12%$955.10K
Toppan Holdings, Inc.0.12%$939.26K
Eneos Holdings, Inc.0.11%$928.03K
Fortum Oyj0.11%$921.52K
Galenica AG0.11%$906.71K
Ryanair Holdings PLC0.11%$892.83K
Ck Asset Holdings Ltd.0.11%$891.34K
Compass Group PLC0.11%$878.09K
Tsubakimoto Chain Co.0.11%$867.96K
Plus500 Ltd.0.11%$848.95K
Screen Holdings Co. Ltd.0.10%$835.39K
Harel Insurance Investments And Financial Services Ltd.0.10%$817.49K
Koninklijke Kpn NV0.10%$816.50K
Fujifilm Holdings Corporation0.10%$813.44K
Bank Of Ireland Group PLC0.09%$764.95K
Mapfre SA0.09%$756.66K
Komatsu Ltd.0.09%$753.60K
Kyocera Corporation0.09%$743.69K
Iberdrola SA0.09%$742.20K
Brother Industries Ltd.0.09%$738.72K
Bank Leumi Le Israel Bm0.09%$739.16K
Sanofi SA0.09%$737.57K
Wartsila Oyj Abp0.09%$731.93K
Konecranes Oyj0.09%$714.44K
Storebrand Asa0.09%$713.33K
Niterra Co. Ltd.0.09%$697.32K
Mercedes-Benz Group AG0.08%$666.96K
Lasertec Corp.0.08%$663.31K
Shin-Etsu Chemical Co. Ltd.0.08%$653.80K
Epiroc Ab0.08%$644.16K
Koninklijke Vopak NV0.08%$634.32K
Tp Icap Group PLC0.08%$633.14K
Persol Holdings Co. Ltd.0.08%$629.01K
Flughafen Zuerich AG0.08%$627.26K
Hiscox Ltd.0.08%$609.89K
Nitto Kogyo Corp.0.07%$581.41K
Telia Company Ab0.07%$577.79K
Heineken Holding NV0.07%$574.17K
Japan Tobacco, Inc.0.07%$566.27K
Kyoei Steel Ltd.0.07%$564.72K
Isuzu Motors Ltd.0.07%$552.52K
Dnb Bank Asa0.07%$549.19K
British American Tobacco PLC0.07%$548.96K
Reckitt Benckiser Group PLC0.07%$548.10K
Rakuten Group, Inc.0.07%$544.82K
Subaru Corp.0.07%$534.74K
Morgan Sindall Group PLC0.06%$521.88K
Haleon PLC0.06%$519.24K
Federal National Mortgage Association0.06%$498.40K
Federal Home Loan Banks Office Of Finance0.06%$497.60K
Regis Resources Ltd.0.06%$485.95K
Galp Energia Sgps SA0.06%$484.81K
Sampo Oyj0.06%$472.52K
Smiths Group PLC0.06%$467.06K
Allreal Holding AG0.06%$464.53K
Aeon Co. Ltd.0.06%$448.50K
Mivne Real Estate Kd Ltd.0.05%$428.61K
Toyota Tsusho Corporation0.05%$416.11K
Toagosei Co. Ltd.0.05%$400.72K
Bandai Namco Holdings, Inc.0.05%$397.13K
Ipsos SA0.05%$396.79K
First International Bank Of Israel Ltd.0.05%$396.45K
Buzzi Spa0.05%$388.31K
Avolta AG0.05%$375.35K
Smith & Nephew PLC0.05%$370.38K
Yuasa Co. Ltd.0.05%$366.36K
Huber+suhner AG0.04%$359.55K
Nippon Shokubai Co. Ltd.0.04%$357.94K
Jtekt Corp.0.04%$354.19K
Howden Joinery Group PLC0.04%$343.45K
Pirelli & C Spa0.04%$335.83K
Voestalpine AG0.04%$330.28K
Tis, Inc.0.04%$324.75K
Hexpol Ab0.04%$318.22K
Tosoh Corp.0.04%$312.82K
Man Group PLC0.04%$310.91K
Sats Ltd.0.04%$305.04K
Acea Spa0.04%$301.86K
Federal Home Loan Banks Office Of Finance0.04%$298.41K
Arcs Co. Ltd.0.04%$295.36K
Denso Corporation0.04%$287.95K
Meitec Group Holdings, Inc.0.04%$286.40K
Primary Health Properties PLC0.03%$276.20K
Accelleron Industries AG0.03%$272.46K
Big Shopping Centers Ltd.0.03%$269.35K
Deutsche Bank AG0.03%$263.99K
Global-E Online Ltd.0.03%$264.39K
Astellas Pharma, Inc.0.03%$255.09K
Biprogy, Inc.0.03%$250.21K
Haseko Corporation0.03%$246.95K
Ssab Ab0.03%$238.99K
Heiwa Corp.0.03%$232.30K
Fraport AG Frankfurt Airport Services Worldwide0.03%$230.98K
Euronext NV0.03%$225.98K
Nomura Research Institute Ltd.0.03%$218.62K
Imi PLC0.03%$210.02K
Energix Renewable Energies Ltd.0.03%$209.94K
Asics Corp.0.03%$201.62K
Federal Home Loan Banks Office Of Finance0.02%$199.28K
Federal Home Loan Banks Office Of Finance0.02%$199.18K
Federal Home Loan Banks Office Of Finance0.02%$198.62K
Chiyoda Corp.0.02%$197.87K
Nsk Ltd.0.02%$194.12K
Hachijuni Nagano Bank Ltd.0.02%$193.74K
Alk Abello A/s0.02%$192.52K
Obayashi Corporation0.02%$190.44K
Delek Group Ltd.0.02%$190.06K
Jb Hi-Fi Ltd.0.02%$176.31K
Macnica Holdings, Inc.0.02%$170.61K
Vault Minerals Ltd.0.02%$166.10K
Cranswick PLC0.02%$166.49K
Essilorluxottica SA0.02%$166.16K
Zigup PLC0.02%$158.64K
Ventia Services Group Ltd.0.02%$154.60K
Fabege Ab0.02%$148.70K
Mobimo Holding AG0.02%$148.94K
Ain Holdings, Inc.0.02%$144.28K
Mony Group PLC0.02%$142.98K
Aisin Corp.0.02%$141.13K
British Land Company PLC0.02%$141.30K
Berkeley Group Holdings PLC0.02%$136.58K
Nsd Co. Ltd.0.02%$133.90K
Nishimatsu Construction Co. Ltd.0.02%$132.41K
Banco Comercial Portugues SA0.02%$129.24K
Airbus SE0.02%$126.38K
Rotork PLC0.01%$121.22K
Federal Home Loan Banks Office Of Finance0.01%$99.33K
Vidrala SA0.01%$87.59K
Paragon Banking Group PLC0.01%$74.80K
Baycurrent, Inc.0.01%$61.19K
Kion Group AG0.01%$41.54K
Evraz PLC0.00%$6
Sbm Offshore NV0.00%$9

C000195231 overview: performance, fees, allocation and SEC filings