Thrivent Moderately Aggressive Allocation Fund seeks long-term capital growth.
This Fund, the second-most aggressive option in Thrivent's suite of Asset Allocation Funds, is designed for investors with a long-term time horizon and moderately high risk tolerance. The Fund is globally diversified across major equity and fixed income sectors and styles. 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.
The Fund may be suitable for investors who:
Our seasoned team of more than 125 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 85% have earned the Chartered Financial Analyst designation, an advanced degree, or both.
Mr. Royal joined Thrivent in 2006. He is the Chief Financial Officer and Chief Investment Officer at Thrivent. Read more.
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.
Mr. Spangler joined Thrivent in 2002 serving as Director of Thrivent’s Investment Product Management group. Read more.
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.
| Thrivent Moderately Aggressive Allocation Fund | S&P 500® Index | Bloomberg U.S. Aggregate Bond Index | MSCI All Country World Index ex-USA - USD Net Returns | Morningstar Moderately Aggressive Allocation Avg | |
|---|---|---|---|---|---|
| 3M | 6.10% | 8.23% | 2.94% | 9.36% | 5.87% |
| YTD | 14.24% | 17.52% | 6.80% | 28.57% | 12.08% |
| 1Y | 15.36% | 21.45% | 6.16% | 24.93% | 13.70% |
| 3Y | 15.48% | 22.68% | 5.60% | 20.29% | 14.49% |
| 5Y | 10.45% | 17.64% | -0.24% | 11.18% | 11.04% |
| 10Y | 9.07% | 14.64% | 1.90% | 7.67% | 8.86% |
| Thrivent Moderately Aggressive Allocation Fund | S&P 500® Index | Bloomberg U.S. Aggregate Bond Index | MSCI All Country World Index ex-USA - USD Net Returns | Morningstar Moderately Aggressive Allocation Avg | |
|---|---|---|---|---|---|
| 3M | 5.97% | 8.12% | 2.03% | 6.89% | 5.76% |
| YTD | 12.49% | 14.83% | 6.13% | 26.02% | 11.09% |
| 1Y | 11.82% | 17.60% | 2.88% | 16.45% | 11.11% |
| 3Y | 17.07% | 24.94% | 4.93% | 20.67% | 16.35% |
| 5Y | 9.81% | 16.47% | -0.45% | 10.26% | 10.48% |
| 10Y | 9.58% | 15.30% | 1.84% | 8.23% | 9.30% |
The Adviser has contractually agreed, for as long as the current fee structure is in place, to waive certain investment advisory fees associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.
| Date | $∆ | %∆ | Total Market |
|---|---|---|---|
| 2025 | +13,822.77 | +138.23% | $23,822.77 |
| 2024 | +10,854.01 | +108.54% | $20,854.01 |
| 2023 | +8,292.79 | +82.93% | $18,292.79 |
| 2022 | +5,601.98 | +56.02% | $15,601.98 |
| 2021 | +8,919.23 | +89.19% | $18,919.23 |
| 2020 | +6,321.34 | +63.21% | $16,321.34 |
| 2019 | +4,265.05 | +42.65% | $14,265.05 |
| 2018 | +1,724.82 | +17.25% | $11,724.82 |
| 2017 | +2,484.43 | +24.84% | $12,484.43 |
| 2016 | +717.78 | +7.18% | $10,717.78 |
| 2015 | -261.97 | -2.62% | $9,738.03 |
| Date | Thrivent Moderately Aggressive Allocation Fund | S&P 500® Index | Bloomberg U.S. Aggregate Bond Index | MSCI All Country World Index ex-USA - USD Net Returns | Morningstar Moderately Aggressive Allocation Avg |
|---|---|---|---|---|---|
| 2024 | 14.00% | 25.02% | 1.25% | 5.53% | 12.97% |
| 2023 | 17.25% | 26.29% | 5.53% | 15.62% | 15.36% |
| 2022 | -17.53% | -18.11% | -13.01% | -16.00% | -14.96% |
| 2021 | 15.92% | 28.71% | -1.54% | 7.82% | 16.50% |
| 2020 | 14.41% | 18.40% | 7.51% | 10.65% | 10.99% |
| 2019 | 21.67% | 31.49% | 8.72% | 21.51% | 21.08% |
| 2018 | -6.08% | -4.38% | 0.01% | -14.20% | -7.82% |
| 2017 | 16.48% | 21.83% | 3.54% | 27.19% | 16.21% |
| 2016 | 10.06% | 11.96% | 2.65% | 4.50% | 7.79% |
| 2015 | -0.61% | 1.38% | 0.55% | -5.66% | -2.73% |
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.
| Security name | % of total assets |
|---|---|
| Thrivent Large Cap Growth Fund, Class S | 11.58% |
| Thrivent Large Cap Value Fund, Class S | 9.02% |
| Thrivent International Equity Fund, Class S | 6.81% |
| Thrivent Global Stock Fund, Class S | 5.05% |
| Thrivent Mid Cap Stock Fund, Class S | 3.59% |
| Thrivent Core International Equity Fund | 3.12% |
| Thrivent Core Emerging Markets Equity Fund | 1.71% |
| Thrivent Small Cap Stock Fund, Class S | 1.55% |
| NVIDIA Corporation | 1.46% |
| Thrivent Income Fund, Class S | 1.38% |
| P/E Ratio | Return on Equity | |
|---|---|---|
| Thrivent Moderately Aggressive Allocation Fund | 24.39 | 18.33% |
| S&P 500® Index | 27.55 | 26.38% |
| Duration | Average Life | |
|---|---|---|
| Thrivent Moderately Aggressive Allocation Fund | 5.46 | 5.84 |
| Bloomberg U.S. Aggregate Bond Index | 5.83 | 8.18 |
Morningstar ratings are calculated based on risk-adjusted return.
| Dividends | Month End Nav | |
|---|---|---|
| November 2024 | $0.0000 | $19.02 |
| December 2024 | $0.3778 | $17.21 |
| January 2025 | $0.0000 | $17.70 |
| February 2025 | $0.0000 | $17.51 |
| March 2025 | $0.0000 | $16.84 |
| April 2025 | $0.0000 | $16.77 |
| May 2025 | $0.0000 | $17.55 |
| June 2025 | $0.0000 | $18.27 |
| July 2025 | $0.0000 | $18.53 |
| August 2025 | $0.0000 | $18.87 |
| September 2025 | $0.0000 | $19.36 |
| October 2025 | $0.0000 | $19.66 |
Trailing 12-Months; Dividend Schedule: Paid Annually
| Record date | Short term capital gains | Long term capital gains | Total |
|---|---|---|---|
| 12/11/2024 | $0.1913 | $0.6458 | $0.8371 |
| Management Fees and Other Expenses | 1.14% |
| Distribution/12b-1 Fee | None |
| Total Annual Fund Operating Expenses | 1.14% |
| Less Waiver | (0.23%) |
| Net Annual Fund Operating Expenses | 0.91% |
| Redemption Fee | None |
| Transaction Fee | None |
| Low Balance Fee | $10 semiannually |
| Front-End Sales Charge | None |
| Back-End Sales Charge | None |
The Adviser has contractually agreed, for as long as the current fee structure is in place, to waive certain investment advisory fees associated with the Fund. If not waived, returns would have been lower. Refer to the Fees & Expenses table in the prospectus.
| Initial for non-retirement accounts | $2,000 |
| Initial for retirement or tax deferred accounts | $1,000 |
| Additional Purchases | $50 |
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.