C000198634 Holdings — Thrivent Core Low Volatility Equity Fund

All 149 reported holdings of Thrivent Core Low Volatility Equity Fund (C000198634) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp.2.61%$698.35K
Cisco Sys, Inc.2.31%$618.85K
Motorola Solutions, Inc.2.05%$548.73K
T-Mobile US, Inc.1.87%$501.38K
Verizon Communications, Inc.1.77%$474.98K
Chubb Ltd.1.75%$467.96K
Mcdonalds Corp.1.73%$463.91K
O Reilly Automotive, Inc. New1.72%$461.61K
Roper Technologies, Inc.1.67%$446.37K
Progressive Corp. Oh1.65%$441.48K
Cboe Global Mkts, Inc.1.56%$418.93K
Verisign, Inc.1.56%$416.75K
Berkshire Hathaway, Inc. Del1.55%$416.20K
Waste Mgmt, Inc. Del1.53%$408.59K
Boston Scientific Corp.1.52%$406.46K
Amphenol Corp. New1.45%$388.02K
Waste Connections, Inc.1.39%$371.47K
Republic Svcs, Inc.1.37%$365.58K
Marsh & Mclennan Cos, Inc.1.36%$364.34K
Johnson & Johnson1.35%$360.45K
International Business Machs Corp.1.32%$353.14K
Mastercard, Inc.1.28%$341.58K
Gilead Sciences, Inc.1.24%$330.58K
Cme Group, Inc.1.23%$328.93K
American Wtr Wks Co., Inc. New1.23%$328.58K
Gallagher Arthur J & Co.1.22%$327.18K
Oracle Corp.1.22%$325.84K
Mckesson Corp.1.18%$316.25K
Procter & Gamble Co.1.10%$294.02K
Electronic Arts, Inc.1.10%$293.54K
Vertex Pharmaceuticals, Inc.1.08%$289.66K
Merck & Co., Inc. New1.04%$278.11K
Walmart, Inc.1.04%$277.77K
Abbvie, Inc.0.99%$264.82K
Cencora, Inc.0.97%$259.47K
Colgate Palmolive Co.0.95%$254.57K
Duke Energy Corp. New0.93%$248.27K
Apple, Inc.0.93%$248.05K
Yum Brands, Inc.0.91%$242.32K
Autozone, Inc.0.90%$241.18K
Lilly Eli & Co.0.84%$224.98K
American Elec Pwr Co., Inc.0.82%$219.49K
Lockheed Martin Corp.0.81%$215.96K
Automatic Data Processing, Inc.0.79%$211.08K
Northrop Grumman Corp.0.76%$204.12K
Accenture PLC Ireland0.75%$201.13K
Pepsico, Inc.0.70%$187.71K
Williams Cos, Inc.0.69%$184.47K
Amgen, Inc.0.67%$178.83K
Linde PLC New0.67%$178.12K
Ugi Corp. New0.66%$175.76K
National Fuel Gas Co.0.60%$161.78K
Unitedhealth Group, Inc.0.60%$161.47K
Medtronic PLC0.60%$161.26K
Travelers Cos, Inc.0.60%$161.09K
Brown & Brown, Inc.0.60%$160.81K
Consolidated Edison, Inc.0.60%$160.63K
Ptc, Inc.0.60%$160.25K
Teledyne Technologies, Inc.0.60%$159.80K
Meta Platforms, Inc.0.59%$158.56K
Texas Instrs, Inc.0.59%$157.52K
Servicenow, Inc.0.58%$155.61K
Mondelez Intl, Inc.0.58%$155.32K
Kimberly-Clark Corp.0.58%$154.03K
Church & Dwight, Inc.0.57%$153.60K
Intercontinental Exchange, Inc.0.57%$153.22K
NVIDIA Corp.0.56%$149.94K
Godaddy, Inc.0.55%$148.49K
At&t, Inc.0.55%$148.43K
Xcel Energy, Inc.0.54%$143.21K
Abbott Labs0.53%$141.33K
Te Connectivity PLC0.52%$139.50K
Altria Group, Inc.0.51%$136.64K
Tjx Cos, Inc. New0.51%$135.86K
Coca Cola Co.0.50%$133.34K
Intuit0.50%$132.69K
Tyler Technologies, Inc.0.49%$132.11K
Salesforce, Inc.0.49%$132.01K
Exxon Mobil Corp.0.49%$130.84K
Fortinet, Inc.0.49%$130.67K
Sabra Health Care REIT, Inc.0.49%$130.19K
Hershey Co.0.47%$126.94K
Pg&e Corp.0.47%$126.85K
Cheniere Energy, Inc.0.47%$125.96K
Monster Beverage Corp. New0.47%$125.08K
Hartford Ins Group, Inc.0.44%$116.93K
Comcast Corp. New0.42%$112.08K
Cadence Design Sys, Inc.0.42%$111.92K
Csx Corp.0.42%$111.60K
Mercadolibre, Inc.0.41%$109.20K
State Street Institutional US0.40%$107.68K
Southern Co.0.39%$103.64K
F5, Inc.0.39%$103.43K
Keysight Technologies, Inc.0.38%$101.46K
Portland Gen Elec Co.0.37%$100.00K
Pentair PLC0.37%$97.91K
Verisk Analytics, Inc.0.36%$96.99K
Keurig Dr Pepper, Inc.0.36%$96.35K
Tyson Foods, Inc.0.35%$92.73K
Evergy, Inc.0.34%$91.40K
Gartner, Inc.0.34%$90.08K
Arista Networks, Inc.0.33%$88.72K
Bristol Myers Squibb Co.0.33%$87.83K
Philip Morris Intl, Inc.0.33%$87.11K
Kroger Co.0.32%$86.78K
Corteva, Inc.0.32%$85.47K
Alphabet, Inc.0.32%$85.05K
Adobe Sys, Inc.0.31%$83.34K
Broadcom, Inc.0.31%$82.53K
Incyte Corp.0.30%$79.38K
Visa, Inc.0.30%$79.11K
Allstate Corp.0.29%$77.84K
Newmont Corp.0.29%$77.62K
Gen Digital, Inc.0.29%$77.18K
Loews Corp.0.29%$76.69K
Elevance Health, Inc.0.28%$75.02K
Arch Capital Group Ltd.0.27%$72.81K
Fair Isaac Corporation0.27%$71.84K
Tradeweb Mkts, Inc.0.26%$68.31K
Aes Corp.0.25%$66.72K
Cognizant Technology Solutions Corp.0.25%$66.16K
Uber Technologies, Inc.0.24%$65.11K
Baker Hughes Co.0.24%$64.42K
Thermo Fisher Scientific, Inc.0.24%$63.14K
Kinder Morgan, Inc. Del0.23%$62.85K
Wec Energy Group, Inc.0.23%$62.83K
Workday, Inc.0.23%$60.56K
Regeneron Pharmaceuticals, Inc.0.22%$60.00K
First Ctzns Bancshares, Inc.0.22%$59.84K
Veralto Corp.0.22%$59.23K
Home Depot, Inc.0.22%$58.07K
Becton Dickinson & Co.0.21%$56.51K
Expeditors Intl Wash, Inc.0.21%$56.03K
Liberty Media Corporation Del0.21%$55.39K
Graco, Inc.0.21%$55.34K
Cdw Corp.0.21%$55.10K
Targa Res Corp.0.21%$55.08K
Schlumberger Ltd.0.20%$54.35K
Idex Corp.0.20%$53.79K
Aon PLC0.20%$53.71K
Akamai Technologies, Inc.0.20%$53.72K
General Mills, Inc.0.20%$53.14K
Paychex, Inc.0.18%$49.22K
Copart, Inc.0.18%$48.05K
Expand Energy Corp.0.18%$47.05K
Cigna Group0.17%$46.52K
Fiserv, Inc.0.17%$46.13K
Exelixis, Inc.0.17%$45.35K
Waters Corp.0.17%$45.05K

C000198634 overview: performance, fees, allocation and SEC filings