C000218694 Holdings — Thrivent Mid Cap Growth Portfolio

All 77 reported holdings of Thrivent Mid Cap Growth Portfolio (C000218694) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Monolithic Power Systems, Inc.2.91%$2.69M
Vertiv Holdings Co.2.28%$2.11M
Hilton Worldwide Holdings, Inc.2.08%$1.93M
Emcor Group, Inc.2.03%$1.88M
Howmet Aerospace, Inc.2.01%$1.86M
Jfrog Ltd.2.01%$1.85M
Mks Incorporated1.85%$1.71M
Sharkninja Hong Kong Co. Ltd.1.82%$1.68M
Cloudflare, Inc.1.76%$1.63M
Quanta Services Inc.1.75%$1.62M
Snowflake, Inc.1.70%$1.57M
West Pharmaceutical Services, Inc.1.70%$1.57M
Cencora, Inc.1.65%$1.52M
Advanced Drainage Systems, Inc.1.63%$1.51M
Texas Roadhouse, Inc.1.59%$1.48M
Caseys General Stores, Inc.1.58%$1.46M
Lattice Semiconductor Corporation1.56%$1.44M
Rockwell Automation, Inc.1.53%$1.42M
Idexx Laboratories Inc.1.53%$1.42M
Fastenal Company1.52%$1.40M
Axon Enterprise, Inc.1.51%$1.40M
Vistra Corp.1.50%$1.39M
State St Inst US Gov Mm Fund1.49%$1.38M
Crane Co.1.46%$1.35M
Clean Harbors, Inc.1.39%$1.28M
Amphenol Corporation1.38%$1.28M
Viking Holdings Ltd.1.38%$1.28M
Oreilly Automotive, Inc.1.37%$1.27M
Datadog, Inc.1.36%$1.26M
Cbre Group, Inc.1.35%$1.25M
Arista Networks, Inc.1.35%$1.24M
Lincoln Electric Holdings, Inc.1.34%$1.24M
Arch Capital Group Ltd.1.33%$1.23M
Natera, Inc.1.33%$1.23M
Life Time Group Holdings, Inc.1.32%$1.22M
Argenx SE1.32%$1.22M
Old Dominion Freight Line, Inc.1.31%$1.21M
Martin Marietta Materials, Inc.1.30%$1.20M
Robinhood Markets, Inc.1.29%$1.19M
Coherent Corp.1.28%$1.19M
Turning Point Brands, Inc.1.23%$1.14M
Verisk Analytics, Inc.1.22%$1.13M
Synopsys, Inc.1.20%$1.11M
Rbc Bearings, Inc.1.17%$1.09M
Ameriprise Financial, Inc.1.16%$1.07M
Aaon, Inc.1.15%$1.06M
Macom Technology Solutions Holdings, Inc.1.12%$1.04M
Ross Stores, Inc.1.12%$1.04M
Repligen Corporation1.12%$1.04M
Levi Strauss & Co.1.12%$1.04M
Wynn Resorts Ltd.1.09%$1.01M
Mercury Systems, Inc.1.08%$999.56K
Ftai Aviation Ltd.1.06%$981.21K
Nvent Electric PLC1.04%$965.25K
Cognex Corporation1.02%$941.68K
Guidewire Software, Inc.0.99%$919.18K
Manhattan Associates, Inc.0.98%$902.62K
Intercontinental Exchange, Inc.0.96%$883.31K
Technipfmc PLC0.94%$870.65K
Western Digital Corporation0.94%$870.58K
United Therapeutics Corporation0.94%$865.30K
Rambus, Inc.0.93%$857.50K
Littelfuse, Inc.0.90%$835.08K
Sitime Corp.0.90%$832.04K
Doordash, Inc.0.90%$830.75K
NASDAQ, Inc.0.90%$828.16K
Spotify Technology SA0.86%$794.75K
Spdr S&P Biotech ETF0.85%$788.88K
Reddit, Inc.0.83%$772.26K
East West Bancorp Inc.0.82%$758.92K
Celestica, Inc.0.79%$726.32K
Installed Building Products, Inc.0.77%$716.18K
Bwx Technologies, Inc.0.75%$697.63K
Cheniere Energy, Inc.0.64%$596.09K
Royalty Pharma PLC0.64%$591.99K
Guardant Health, Inc.0.53%$493.30K
Vaneck Vectors Semiconductor ETF0.52%$483.39K

C000218694 overview: performance, fees, allocation and SEC filings