AASCX
THRIVENT MID CAP STOCK FUND
Thrivent Mutual Funds

Portfolio concentration

As of January 30, 2026 · N-PORT
Holdings
66
Top-10 weight
23.87%
Effective holdings ?
60
Crowding ?
748.4

Holdings

As of January 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 STEEL DYNAMICS INC 524,129 $94.12M 3.19%
2 ARCH CAPITAL GRP 775,608 $74.49M 2.53%
3 M&T BANK CORP 333,609 $73.92M 2.51%
4 FIRST INDUSTRIAL REALTY TRUST 1,181,374 $68.56M 2.33%
5 NORTHERN TRUST CORP 458,393 $68.50M 2.32%
6 TRIMBLE INC 1,011,053 $68.35M 2.32%
7 ROCKWELL AUTOMATION INC 161,692 $68.18M 2.31%
8 FIFTH THIRD BANCORP 1,262,257 $63.39M 2.15%
9 METTLER-TOLEDO INTL INC 45,083 $61.91M 2.10%
10 ONTO INNOVATION INC 298,168 $60.24M 2.04%
11 HOWMET AEROSPACE INC 289,175 $60.17M 2.04%
12 LINCOLN ELECTRIC HLDGS INC 217,690 $57.76M 1.96%
13 MONOLITHIC POWER SYS INC 50,859 $57.17M 1.94%
14 ULTA BEAUTY INC 88,176 $57.08M 1.94%
15 Nokia Oyj ADR NOK 8,443,911 $54.29M 1.84%
16 State Street Navigator Securities Lending Portfolio II GVMXX 53,614,191 $53.61M 1.82%
17 FASTENAL CO 1,222,903 $53.03M 1.80%
18 NVR INC 6,748 $51.53M 1.75%
19 TIMKEN CO 541,229 $50.44M 1.71%
20 OLD DOMINION FRT 289,304 $50.11M 1.70%
21 EXPEDITORS INTL OF WASH INC 307,495 $49.37M 1.68%
22 DATADOG INC CL A 376,559 $48.70M 1.65%
23 ZEBRA TECHNOLOGIES CORP CL A 198,025 $46.53M 1.58%
24 DEVON ENERGY CORP 1,132,941 $45.56M 1.55%
25 EXPAND ENERGY CORP 402,663 $45.26M 1.54%
26 STERIS PLC 170,119 $44.67M 1.52%
27 TELEFLEX INC 427,935 $44.66M 1.52%
28 AMETEK INC NEW 198,164 $44.38M 1.51%
29 Viking Holdings Ltd 608,034 $43.87M 1.49%
30 QUANTA SVCS INC 91,147 $43.26M 1.47%
31 GARMIN LTD 214,510 $43.25M 1.47%
32 CASEY'S GENERAL 69,653 $42.24M 1.43%
33 OLD REPUBLIC INTL CORP 1,061,818 $41.59M 1.41%
34 NISOURCE INC 919,339 $40.72M 1.38%
35 ILLUMINA INC 278,103 $40.27M 1.37%
36 CENTERPOINT ENERGY INC 1,006,850 $39.96M 1.36%
37 ALLEGION PLC 237,902 $39.35M 1.34%
38 VEEVA SYSTEMS-A 192,469 $39.25M 1.33%
39 WYNN RESORTS LTD 364,809 $39.20M 1.33%
40 ALLIANT ENERGY CORPORATION 588,895 $38.81M 1.32%
41 EMCOR GROUP INC 53,559 $38.60M 1.31%
42 ASBURY AUTOMOTIVE GROUP INC 162,125 $38.02M 1.29%
43 UNITED RENTALS INC 47,986 $37.53M 1.27%
44 EXTRA SPACE STORAGE INC 270,472 $37.32M 1.27%
45 LUMENTUM HOLDINGS INC 93,332 $36.57M 1.24%
46 WD-40 CO 156,444 $36.17M 1.23%
47 LEIDOS HOLDINGS INC 191,007 $35.96M 1.22%
48 CFD_EQS BARCUS33 BV7DQ55 AMCR US 795,434 $35.20M 1.19%
49 ALLY FINANCIAL INC 818,146 $34.59M 1.17%
50 OSHKOSH CORP 236,132 $33.96M 1.15%
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