Thrivent Funds performance table

help icon
Funds home»management»Thrivent
fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Thrivent Aggressive Allocation Inst 2% 3% 23% 5% 7% - 2014-06-30
Thrivent Balanced Income Plus I 1% 3% 17% 4% 6% - 2014-06-30
Thrivent Diversified Income Plus I 1% 2% 9% 4% 5% - 2014-06-30
Thrivent Government Bond Institutional 0% 2% 3% 3% 3% - 2014-06-30
Thrivent Growth and Income Plus I 1% 3% 13% 3% 4% - 2014-06-30
Thrivent High Yield I 0% 2% 11% 4% 5% - 2014-06-30
Thrivent Income I 0% 2% 8% 5% 5% - 2014-06-30
Thrivent Large Cap Growth I 2% 5% 31% 6% 2% - 2014-06-30
Thrivent Large Cap Stock Instl 1% 4% 24% 6% 5% - 2014-06-30
Thrivent Large Cap Value I 2% 3% 20% 5% 5% - 2014-06-30
Thrivent Limited Maturity Bond I 0% 0% 2% 1% 3% - 2014-06-30
Thrivent Mid Cap Growth Inst 2% 1% 23% 1% 8% - 2014-06-30
Thrivent Mid Cap Stock I 5% 4% 31% 9% 8% - 2014-06-30
Thrivent Moderate Allocation I 1% 3% 15% 5% 6% - 2014-06-30
Thrivent Moderately Agrsv Allocation I 1% 3% 19% 5% 7% - 2014-06-30
Thrivent Moderately Cnsrv Allocation I 1% 2% 11% 4% 5% - 2014-06-30
Thrivent Money Market I 0% 0% 0% 0% 2% - 2014-06-30
Thrivent Municipal Bond I 0% 2% 6% 6% 5% - 2014-06-30
Thrivent Natural Resources I 5% 10% 24% 13% 4% - 2014-06-30
Thrivent Opportunity Income Plus I 0% 1% 5% 3% 5% - 2014-06-30
Thrivent Partner Emerging Mkts Eq I 2% 3% 10% 1% 2% - 2014-06-30
Thrivent Partner International Stock I -8% -11% 11% -5% 2% - 2011-08-31
Thrivent Partner Mid Cap Value I 2% 4% 24% 8% 9% - 2014-06-30
Thrivent Partner Small Cap Growth I 6% 0% 22% -1% 7% - 2014-06-30
Thrivent Partner Small Cap Value I 3% 1% 22% 2% 11% - 2014-06-30
Thrivent Partner Worldwide Allocation I 1% 2% 20% 4% 2% - 2014-06-30
Thrivent Small Cap Stock I 4% 1% 21% 2% 8% - 2014-06-30

All our data is licensed from Morningstar UK Ltd. Important legal information