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Thrivent Mutual Funds List

Here you can find all mutual funds issued by Thrivent and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.

Click on any fund in the list to see complete information, including risk and performance analysis.

Year-to-Date Return


10-Year Annualized Return


Dividend Yield


10Y Volatility


Maximum Drawdown


Sharpe Ratio

SymbolFull nameCategoryInceptionExpense RatioYTD Ret.10Y Ann. Ret.Div. YieldMax. DrawdownSharpe Ratio
AAAGXThrivent Large Cap Growth FundLarge Cap Growth EquitiesOct 29, 19991.03%9.4%11.3%8.6%-70.8%-0.5
AASCXThrivent Mid Cap Stock FundMid Cap Blend EquitiesJun 30, 19930.98%-0.8%8.6%3.2%-56.4%-0.4
AASMXThrivent Small Cap Stock FundSmall Cap Blend EquitiesJul 1, 19961.07%0.1%8.7%12.9%-57.1%-0.3
AAUTXThrivent Large Cap Value FundLarge Cap Value EquitiesOct 29, 19990.86%-4.0%7.9%6.4%-55.8%-0.4
LBHYXThrivent High Yield FundHigh Yield BondsApr 3, 19870.79%0.9%2.8%6.7%-31.1%-0.6
LUBIXThrivent Income FundCorporate BondsJun 1, 19720.74%2.5%1.8%4.1%-23.2%-0.8
THLIXThrivent Limited Maturity Bond FundShort-Term BondOct 29, 19990.41%1.2%1.4%2.6%-9.4%-0.3
TMAAXThrivent Moderately Aggressive Allocation Fund Class ADiversified PortfolioJun 30, 20051.33%1.3%5.1%4.6%-50.5%-0.5
TMCGXThrivent Mid Cap Growth FundMid Cap Growth EquitiesFeb 28, 20200.90%1.9%-17.3%0.0%-87.7%-0.4
TMCVXThrivent Mid Cap Value FundMid Cap Value EquitiesFeb 28, 20200.90%-4.1%14.8%3.2%-34.0%-0.4
TMSIXThrivent Mid Cap Stock Fund Class SMid Cap Blend EquitiesJun 30, 19930.74%-0.8%9.2%2.9%-56.1%-0.4
TSCGXThrivent Small Cap Growth FundSmall Cap Growth EquitiesFeb 28, 20181.21%0.5%9.9%0.0%-38.8%-0.2
TSCSXThrivent Small Cap Stock Fund Class SSmall Cap Blend EquitiesJul 1, 19960.80%0.1%9.4%9.6%-56.7%-0.3
TWAAXThrivent International Allocation FundForeign Large Cap EquitiesFeb 29, 20081.20%1.7%2.6%1.7%-53.4%-0.5

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Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.

0%Annualized Volatility0%Annualized Return

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