1 T THLCX Thrivent Large Cap Growth Fund, Class S 11.23% 11.2% 19,906,864 $480.75M - - - 2 T TLVIX Thrivent Large Cap Value Fund, Class S 10.32% 21.6% 12,986,596 $441.54M - - - 3 —Thrivent Core Short-Term Reserve Fund 8.91% 30.5% 38,089,099 $381.27M - - - 4 T TWAIX Thrivent International Allocation Fund, Class S 4.61% 35.1% 14,780,949 $197.18M - - - 5 G GVMXX State Street Institutional US Government Money Market FundFinancials · Capital Markets 3.53% 38.6% 151,283,968 $151.28M - Financials Capital Markets 6 L LBIIX Thrivent Income Fund, Class S 3.01% 41.6% 7,740,779 $128.65M - - - 7 I IILGX Thrivent Global Stock Fund, Class S 2.58% 44.2% 3,674,442 $110.56M - - - 8 T TMSIX Thrivent Mid Cap Stock Fund, Class S 2.22% 46.4% 2,759,573 $95.12M - - - 9 DebtThrivent Limited Maturity Bond Fund, Class S 1.74% 48.1% 5,911,541 $74.49M - - - 10 —Thrivent Core Emerging Markets Debt Fund 1.43% 49.6% 6,899,368 $61.27M - - - 11 N NVDA Nvidia Corp. Info Tech · Semiconductors 1.24% 50.8% 277,002 $52.94M -28.0K Info Tech Semiconductors 12 L LBHIX Thrivent High Yield Fund, Class S 1.13% 52.0% 2,822,380 $48.54M - - - 13 T TSCSX Thrivent Small Cap Stock Fund, Class S 1.11% 53.1% 1,398,447 $47.70M - - - 14 M MSFT Microsoft Corp Info Tech · Software 1.03% 54.1% 102,646 $44.17M +1.2K Info Tech Software 15 DebtTreasury Note (Otr) 3.63% Sep 30, 2030 0.94% 55.0% - $40.43M - - - 16 A AMZN Amazon.com Inc Consumer Disc. · Internet 0.83% 55.9% 148,362 $35.50M +8.5K Consumer Disc. Internet 17 A AAPL Apple, Inc Info Tech · Tech Hardware 0.79% 56.6% 129,953 $33.72M -31.4K Info Tech Tech Hardware 18 —Thrivent Core Emerging Markets Equity Fund 0.71% 57.4% 2,331,193 $30.52M - - - 19 —Lcp X (Offshore), Lp 0.64% 58.0% 1 $27.43M - - - 20 G GOOG Alphabet Inc. C Comm. Services · Interactive Media 0.63% 58.6% 80,111 $27.12M - Comm. Services Interactive Media 21 M META Meta Platforms, Inc. Comm. Services · Interactive Media 0.61% 59.2% 36,296 $26.01M +36.0K Comm. Services Interactive Media 22 DebtUs Treas NtsFinancials · Diversified Financial Services 0.49% 59.7% - $21.08M - Financials Diversified Financial Services 23 DebtAon Corp/Aon Global Hold 0.45% 60.2% 1 $19.27M - - - 24 T TCFIE Thrivent Core International Equity Fund 0.40% 60.6% 1,323,251 $17.15M - - - 25 DebtWi Treasury Sec 08/55 4.75Financials · Banks 0.39% 61.0% - $16.63M - Financials Banks 26 DebtTreasury Note (Otr) 4.5% Mar 31, 2026Financials · Banks 0.39% 61.4% - $16.62M - Financials Banks 27 J JPM JPMorgan Chase Financials · Banks 0.36% 61.7% 50,076 $15.32M +345 Financials Banks 28 A AVGO Broadcom Inc Info Tech · Semiconductors 0.36% 62.1% 45,875 $15.20M +44.8K Info Tech Semiconductors 29 T TMVE Thrivent Mid Cap Value Etf 0.35% 62.4% 954,035 $15.11M - - - 30 DebtFederal National Mortgage Association Or Federal Home Loan Mortgage Corp 0.35% 62.8% - $15.02M - - - 31 T TSLA Tesla Inc Consumer Disc. · Automobiles 0.32% 63.1% 31,638 $13.62M -2.6K Consumer Disc. Automobiles 32 W WFC Wells Fargo & Co. Financials · Banks 0.32% 63.4% 152,949 $13.84M +14.8K Financials Banks 33 DebtUnited States Treasury Note/Bond 4.375 2026-07-31Financials · Banks 0.30% 63.7% - $12.64M - Financials Banks 34 X XOM Exxon Mobil Corp. Energy · Oil & Gas 0.28% 64.0% 84,545 $11.95M -987 Energy Oil & Gas 35 —Barrick Gold Corp 0.27% 64.3% 16,683 $11.54M - - - 36 —Bank of America Corp.:Financials · Banks 0.27% 64.5% 214,363 $11.40M +19.5K Financials Banks 37 —Asf Ix L.P. 0.27% 64.8% 1 $11.51M - - - 38 —Samsung Electronics (Equity) 0.26% 65.1% 102,180 $11.29M +11.1K - - 39 J JNJ Johnson & Johnson - Health Care · Pharmaceuticals 0.26% 65.3% 49,499 $11.25M -16.7K Health Care Pharmaceuticals 40 DebtTreasury BondFinancials · Diversified Financial Services 0.26% 65.6% - $10.98M - Financials Diversified Financial Services 41 —Crown Global Secondaries Vi Feeder Sa, Sicav-Raif 0.26% 65.9% 1 $11.19M - - - 42 DebtUs Treasury N/B 09/27 3.5 0.26% 66.1% - $10.99M - - - 43 DebtUnited States Of Americau.S. Treasury Notes 11/15/2032Financials · Diversified Financial Services 0.25% 66.4% - $10.87M - Financials Diversified Financial Services 44 C CSCO Cisco Systems Inc. Info Tech · Communications Equipment 0.24% 66.6% 132,220 $10.36M -9.6K Info Tech Communications Equipment 45 DebtUs Treasury N/BFinancials · Banks 0.24% 66.8% - $10.19M - Financials Banks 46 —Schwab Strategic TFinancials · Capital Markets 0.24% 67.1% 99,425 $10.33M -6.2K Financials Capital Markets 47 DebtUnited States Treasury Note/bo 05/49 2.875Financials · Diversified Financial Services 0.23% 67.3% - $9.97M - Financials Diversified Financial Services 48 —Fannie Mae Pool Umbs P#Ma4281 2.00000000Financials · Thrifts 0.23% 67.5% - $9.74M - Financials Thrifts 49 DebtUs Treasury N/B 12/27 3.875Financials · Diversified Financial Services 0.23% 67.8% - $9.84M - Financials Diversified Financial Services 50 L LLY Eli Lilly & Co. Health Care · Pharmaceuticals 0.23% 68.0% 9,512 $9.87M -1.6K Health Care Pharmaceuticals More holdings · Pro