Three ways to invest in Thrivent funds

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MUTUAL FUNDS

Thrivent Account

You can purchase mutual funds right on our site with an online account.

Invest with a Thrivent account

  • Set up an account starting with as little as $50 per month.1
  • Access your online account at your convenience.
  • Purchase funds without transaction fees or sales charges.

MUTUAL FUNDS & ETFS

Financial Professional

For guidance when investing, ask a financial professional about investing in Thrivent mutual funds & ETFs.

Invest with a financial professional

  • Receive investment help from an experienced professional.
  • Build a relationship through in-person meetings.
  • Get help planning for life’s goals such as saving and retirement.
  • Additional fees may apply.

MUTUAL FUNDS & ETFS

Brokerage Account

If you already have a brokerage account, our mutual funds & ETFs can be purchased through online brokerage platforms by searching for Thrivent Mutual Funds and ETFs.

Invest with a brokerage account

  • Add Thrivent Mutual Funds and ETFs to your investments within your existing portfolio.
  • Take advantage of your account to keep your investments in one place.
  • Additional fees may apply.

Not quite ready?

We want you to invest your money wisely and with confidence.
Here are some other options that may help you.

  • Take our quiz to determine your personal investment style.
  • Talk to your financial advisor about ETFs.
  • Sign up for our monthly investing insights newsletter.

 

Need more help?

If you need assistance, we’re here to help. Reach out to us via the phone, email, and support page information below.

 

This ETF is different from traditional ETFs. Traditional ETFs tell the public what assets they hold each day. This ETF will not. This may create additional risks for your investment. For example:

 - You may have to pay more money to trade the ETF’s shares. This ETF will provide less information to traders, who tend to charge more for trades when they have less information.

 - The price you pay to buy ETF shares on an exchange may not match the value of the ETF’s portfolio. The same is true when you sell shares. These price differences may be greater for this ETF compared to other ETFs because it provides less information to traders.

 - These additional risks may be even greater in bad or uncertain market conditions.

 - The ETF will publish on its website each day a “Proxy Portfolio” designed to help trading in shares of the ETF. While the Proxy Portfolio includes some of the ETF’s holdings, it is not the ETF’s actual portfolio.

The differences between this ETF and other ETFs may also have advantages. By keeping certain information about the ETF secret, this ETF may face less risk that other traders can predict or copy its investment strategy. This may improve the ETF’s performance. If other traders are able to copy or predict the ETF’s investment strategy, however, this may hurt the ETF’s performance. For additional information regarding the unique attributes and risks of the ETF, see the Principal Risks section of the prospectus.

1 New accounts with a minimum investment amount of $50 are offered through the Thrivent Mutual Funds "automatic purchase plan." Otherwise, the minimum initial investment requirement is $2,000 for non-retirement accounts and $1,000 for IRA or tax-deferred accounts, minimum subsequent investment requirement is $50 for all account types. Account minimums for other options vary.

Thrivent ETFs may be purchased through your financial professional or brokerage platforms.

Contact your financial professional or brokerage firm to understand minimum investment amounts when purchasing a Thrivent ETF.

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Thrivent Dynamic Allocation Fund —
Class A
AABFX
AABFX
Thrivent Dynamic Allocation Fund
Class
Morningstar Rating
Moderately Conservative Allocation
Rating 4
Overall among 426 funds as of
03/31/2025
Morningstar ratings are calculated based on risk-adjusted return.
Risk profile
The risk profile for this fund is Moderate
Target allocation
45% Equity
55% Fixed Income
Inception date
12/29/1997
As of
Public offering price
N/A
Net asset value
-
Daily NAV change
-
As of N/A
YTD return with sales charge
-4.15%
1-year return with sales charge
0.26%
As of 03/31/2025
Net annual fund operating expenses
0.99%
As of
Max sales charge
4.50%
As of

Thrivent Dynamic Allocation Fund seeks long-term total return through a balance between income and the potential for long-term capital growth.

This Fund provides a balanced approach to income and capital appreciation. The Fund is actively managed and invests in a combination of other funds managed by the Adviser and direct investments in equity and debt instruments. Approximately half of the portfolio is invested in equity securities to provide potential growth, while the other half of the portfolio is invested in higher-yielding, higher-risk, fixed income securities to generate income. Investments are diversified across sectors in order to manage risk, potentially provide more stability when interest rates rise, and to provide the opportunity for long-term capital growth and income. Prior to 2/28/2025, the Fund was named Thrivent Balanced Income Plus Fund.

The fund may be suitable for investors who:

  • Seek a balance of income and the opportunity for long-term growth
  • Have a medium to long-term investment time horizon and a moderate risk tolerance
  • Are able to withstand a moderate level of risk and volatility in pursuit of moderate long-term returns
Fund management

Our seasoned team of more than 140 investment professionals brings their deep expertise to managing each fund so you can feel confident in the choices you’re making. More than 80% have at least 10 years of experience, more than 50% have more than 20 years of investment experience, and more than 80% have earned the Chartered Financial Analyst designation, an advanced degree, or both.

  • Stephen D. Lowe, CFA
    Stephen D. Lowe, CFA
    Senior Vice President & Chief Investment Strategist
    Managing this fund since 2013

    Mr. Lowe joined Thrivent in 1997. He is the Chief Investment Strategist and has served as the portfolio manager of various Thrivent mutual funds since 2009. He has also been a senior portfolio manager of the high yield portion of Thrivent's general account since 2005. Read more.

  • David Spangler, CFA
    David Spangler, CFA
    Vice President, Model & Mixed Portfolios
    Managing this fund since 2019

    Mr. Spangler joined Thrivent in 2002 serving as Director of Thrivent’s Investment Product Management group. Read more.

  • Theron G. Whitehorn, CFA
    Theron G. Whitehorn, CFA
    Senior Portfolio Manager
    Managing this fund since 2021

    Mr. Whitehorn joined Thrivent in 2018 serving as Director of Fixed Income Quantitative Research. Read more.


Performance

All data represents past performance. Past performance does not guarantee future results. Investment return and principal value of the investment will fluctuate so that an investor’s shares, when redeemed may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted.


Average Annualized Returns

as of 03/31/2025
0.99% Net annual fund operating expenses
1.03% Total annual fund operating expenses
Thrivent Dynamic Allocation Fund Bloomberg U.S. Mortgage-Backed Securities Index Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index MSCI World Index - USD Net Returns Morningstar Moderately Conservative Allocation Avg
3M -4.15% 3.06% 1.18% -1.79% 0.73%
YTD -4.15% 3.06% 1.18% -1.79% 0.73%
1Y 0.26% 5.39% 6.69% 7.04% 5.15%
3Y 1.55% 0.55% 4.58% 7.58% 3.01%
5Y 7.96% -0.69% 6.70% 16.13% 6.66%
10Y 4.43% 1.11% 4.82% 9.50% 4.36%

The average annualized returns for the fund reflect the current maximum sales charge of 4.50%.

The Adviser has contractually agreed, for a period of one year from the date of the most recent prospectus, to waive certain fees and/or reimburse certain expenses associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.

See data by:


Growth of 10K

as of 03/31/2025
$16,146
Total market value
$5,705
Current value of reinvested dividends and capital gains

Calendar year performance

as of 03/31/2025

Characteristics

All data represents past performance. Past performance does not guarantee future results. Investment return and principal value of the investment will fluctuate so that an investor’s shares, when redeemed may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted.


Holdings breakdown

as of 03/31/2025
Total number of holdings
2008
Turnover ratio (as of 02/28/2025)
68%
80.26%
U.S.
19.74%
Non-U.S.

Top 10 Holdings

as of 02/28/2025
19.46%
of all holdings
N/A
N/A
Security name % of total assets Maturity Coupon rate
Thrivent Core International Equity Fund 6.61%
Thrivent Core Emerging Markets Debt Fund 4.96%
Microsoft Corporation 1.16%
NVIDIA Corporation 1.15%
Apple, Inc. 1.14%
U.S. Treasury Bonds 0.92% 08/15/2042 3.38%
Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.90% 03/01/2055 5.50%
Amazon.com, Inc. 0.89%
Meta Platforms, Inc. 0.89%
U.S. Treasury Notes 0.84% 07/31/2028 4.13%

Fund Diversification

as of 03/31/2025
N/A
N/A
  • Large Cap Equity
    21.38%
  • Mid Cap Equity
    8.67%
  • Small Cap Equity
    .82%
  • International Equity
    10.16%
  • High Yield Bonds
    6.79%
  • Leveraged Loans
    .05%
  • Investment-Grade Corporates
    9.36%
  • Securitized Debt
    26.76%
  • U.S. Government Bonds
    7.04%
  • International Government Bonds
    4.94%
  • Flexible Income
    3.92%
  • Cash
    .11%

Equity characteristics

as of 03/31/2025
41.03%
of all holdings
P/E Ratio Return on Equity
Thrivent Dynamic Allocation Fund 20.55 17.09%
S&P 500® Index 24.00 26.00%

Fixed Income characteristics

as of 03/31/2025
58.97%
of fund
Duration Average Life
Thrivent Dynamic Allocation Fund 5.66 7.98
Bloomberg U.S. Aggregate Bond Index 6.09 8.38

Credit quality rating distribution

as of 03/31/2025
N/A
N/A
Bond type
% of total
  • High Quality (HQ) Bonds
    66.16%
  • U.S. Government Guaranteed
    10.99%
  • AAA
    1.59%
  • AA
    28.92%
  • A
    9.25%
  • BBB
    15.41%
Bond type
% of total
  • High Yield (HY) Bonds
    17.60%
  • BB
    8.74%
  • B
    7.01%
  • CCC
    1.52%
  • CC
    0.29%
  • C
    0.02%
  • D
    0.02%
  • Non-Rated (NR) Bonds
    15.24%
  • May be HQ/HY/NR Bonds
    1.02%
  • ETFs/Closed-End Funds
    1.02%

Ratings

Morningstar

as of 03/31/2025
Category: Moderately Conservative Allocation
Morningstar Information
Check out our funds that received 4- or 5-Star Overall Morningstar RatingTM
Funds in category
Overall
4 out of five stars
426
funds in category
3-Year
3 out of five stars
426
funds in category
5-Year
5 out of five stars
390
funds in category
10-Year
3 out of five stars
289
funds in category
Risk vs. category
Above Average
426
funds in category
Return vs. category
Above Average
426
funds in category

Morningstar ratings are calculated based on risk-adjusted return.

equity style is large blend
Equity Style Map

Distributions

as of 03/31/2025
Dividends Month End Nav Month End Pop
April 2024 $0.0000 $13.28 $13.91
May 2024 $0.0000 $13.63 $14.27
June 2024 $0.0925 $13.69 $14.34
July 2024 $0.0000 $13.97 $14.63
August 2024 $0.0000 $14.22 $14.89
September 2024 $0.0933 $14.34 $15.02
October 2024 $0.0000 $14.07 $14.73
November 2024 $0.0000 $14.43 $15.11
December 2024 $0.1238 $13.75 $14.40
January 2025 $0.0000 $13.99 $14.65
February 2025 $0.0000 $14.05 $14.71
March 2025 $0.0919 $13.71 $14.36

Trailing 12-Months; Dividend Schedule: Paid Quarterly


Capital gains - trailing 12 months

as of 03/31/2025
Record date Short term capital gains Long term capital gains Total
12/11/2024 - $0.2468 $0.2468

Expenses, fees, and charges

Management Fees and Other Expenses 0.78%
Distribution/12b-1 Fee 0.25%
Total Annual Fund Operating Expenses 1.03%
Less Waiver (0.04%)
Net Annual Fund Operating Expenses 0.99%
Redemption Fee None
Transaction Fee None
Low Balance Fee $10 semiannually
Front-End Sales Charge Max 4.50%
Back-End Sales Charge None

The Adviser has contractually agreed, for a period of one year from the date of the most recent prospectus, to waive certain fees and/or reimburse certain expenses associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.


Minimum investment

Initial for non-retirement accounts $2,000
Initial for retirement or tax deferred accounts $1,000
Additional Purchases $50
Initial minimums are waived when a recurring investment of $50 or more is set up

Documents

Title Download View
Prospectus & Fund Documents -
Fund Facts -
Schedule of Investments -
Proxy Voting Record -

Due to rounding, some values may not total 100%. Effective 2/28/2025, certain cash-designated holdings (e.g., futures) were reallocated to their asset classes due to a data source change.

Individual Investors


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