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B6Q2VFHD1797Q7NZ3E43 American Honda Finance Corporation 02665WDA6 5820000.00000000 PA USD 5827431.15000000 0.112421138493 Long DBT CORP US N 2 2021-06-11 Floating 0.00570600 N N N N N N Federal Agricultural Mortgage Corporation 549300MS654K78GYF580 Federal Agricultural Mortgage Corporation 31422B2W9 9000000.00000000 PA USD 8998510.95000000 0.173596704913 Long DBT USGSE US N 2 2021-12-01 Floating 0.00144000 N N N N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corporation 06406FAA1 14400000.00000000 PA USD 14440017.31000000 0.278572692508 Long DBT CORP US N 2 2021-04-15 Fixed 0.02500000 N N N N N N CHARTA LLC 5493000FNFK79LCM6M65 Charta, LLC 16115VP11 5855000.00000000 PA USD 5854936.59000000 0.112951765591 Long STIV CORP US N 2 N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank 3130AHWZ2 10000000.00000000 PA USD 9999901.90000000 0.192915253306 Long DBT USGSE US N 2 2021-02-16 Floating 0.00079000 N N N N N N Toyota Motor Corporation Z2VZBHUMB7PWWJ63I008 Toyota Motor Credit Corporation 89236TGF6 11708000.00000000 PA USD 11711207.99000000 0.225929281957 Long DBT CORP US N 2 2021-03-12 Floating 0.00419500 N N N N N N Royal Bank of Canada N/A Thunder Bay Funding, LLC 88603J6U3 25000000.00000000 PA USD 24995630.50000000 0.482208569411 Long STIV CORP US N 2 N N N Commonwealth Bank of Australia MSFSBD3QN1GSN7Q6C537 Commonwealth Bank of Australia 2027A0HX0 5250000.00000000 PA USD 5275095.00000000 0.101765627134 Long DBT CORP AU N 2 2021-09-06 Floating 0.01055400 N N N N N N The Allstate Corporation OBT0W1ED8G0NWVOLOJ77 Allstate Corporation 020002BE0 3000000.00000000 PA USD 3002247.90000000 0.057918509592 Long DBT CORP US N 2 2021-03-29 Floating 0.00681000 N N N N N N Suncor Energy Inc. N/A Suncor Energy, Inc. 86723AQ54 10000000.00000000 PA USD 9997987.50000000 0.192878321247 Long STIV CORP CA N 2 N N N KFW N/A KFW 48246TPN3 21290000.00000000 PA USD 21288296.80000000 0.410687745809 Long STIV CORP DE N 2 N N N Federal Farm Credit Banks Funding Corporation N/A Federal Farm Credit Bank 3133EK5T9 25000000.00000000 PA USD 25024765.50000000 0.482770633515 Long DBT USGSE US N 2 2021-11-05 Floating 0.00273900 N N N N N N Deere & Company E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422EUJ6 14185000.00000000 PA USD 14205520.73000000 0.274048851416 Long DBT CORP US N 2 2021-09-10 Floating 0.00490000 N N N N N N CATERPILLAR FIN SERV CRP EDBQKYOPJUCJKLOJDE72 Caterpillar Financial Services Corporation 14912DPN3 25000000.00000000 PA USD 24995583.25000000 0.482207657877 Long STIV CORP US N 2 N N N UnitedHealth Group Incorporated 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91058TPN0 25000000.00000000 PA USD 24997466.75000000 0.482243993822 Long STIV CORP US N 2 N N N Hyundai Motor Company 549300RIPPWJB5Z0FK07 Hyundai Capital America 44890MP14 6200000.00000000 PA USD 6199922.50000000 0.119607135302 Long STIV CORP US N 2 N N N Cooperative Association of Tractor Dealers, Inc. N/A Dealers Capital Access Trust, LLC 24023GQH3 2000000.00000000 PA USD 1999605.72000000 0.038575822827 Long STIV CORP US N 2 N N N Nordea Bank Abp 529900ODI3047E2LIV03 Nordea Bank Abp 65558TR23 15000000.00000000 PA USD 15005348.70000000 0.289478904328 Long STIV CORP FI N 2 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GFV6 10586000.00000000 PA USD 10618015.13000000 0.204839717318 Long DBT CORP US N 2 2021-04-19 Floating 0.01643400 N N N N N N BCC Funding XVII LLC N/A BCC Funding XVII, LLC 05493CAA4 10969170.20000000 PA USD 10970544.64000000 0.211640616007 Long ABS-O CORP US N 2 2021-10-20 Fixed 0.00309700 N N N N N N UBS Group AG N/A UBS Group AG 90276JLJ3 10000000.00000000 PA USD 9998618.20000000 0.192890488532 Long STIV CORP CH N 2 N N N NextEra Energy, Inc. A89MY1K3YLIGJMYWVX50 Florida Power & Light Company 34108AP43 25000000.00000000 PA USD 24999416.75000000 0.482281612665 Long STIV CORP US N 2 N N N Erste Abwicklungsanstalt N/A Erste Abwicklungsanstalt 29604CQF2 25000000.00000000 PA USD 24996250.00000000 0.482220520628 Long STIV CORP DE N 2 N N N Dominion Energy, Inc. CQKUMNNZVDJLRYV2PT43 Virginia Electric & Power Company 92780JP13 10000000.00000000 PA USD 9999883.30000000 0.192914894480 Long STIV CORP US N 2 N N N CCG Receivables Trust N/A CCG Receivables Trust 12509DAA0 3433461.40000000 PA USD 3433461.40000000 0.066237357358 Long ABS-O CORP US N 2 2021-08-16 Fixed 0.00255300 N N N N N N NextEra Energy, Inc. UMI46YPGBLUE4VGNNT48 Nextera Energy Capital Holdings 65339MPH3 25000000.00000000 PA USD 24997585.50000000 0.482246284713 Long STIV CORP US N 2 N N N Suncor Energy Inc. N/A Suncor Energy, Inc. 86723AQC9 20000000.00000000 PA USD 19994960.00000000 0.385737061405 Long STIV CORP CA N 2 N N N Federal Farm Credit Banks Funding Corporation N/A Federal Farm Credit Bank 3133EL5Z3 100000000.00000100 PA USD 99992230.00000000 1.929021561610 Long DBT USGSE US N 2 2021-09-01 Floating 0.00129000 N N N N N N Royal Bank of Canada N/A Royal Bank of Canada 78012UWY7 15000000.00000000 PA USD 15007368.45000000 0.289517868769 Long STIV CORP CA N 2 N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38143U8F1 13210000.00000000 PA USD 13215812.40000000 0.254955680794 Long DBT CORP US N 2 2021-02-25 Fixed 0.02875000 N N N N N N Alexandria Real Estate Equities, Inc. MGCJBT4MKTQBVLNUIS88 Alexandria Real 01527LP33 15000000.00000000 PA USD 14999312.55000000 0.289362456645 Long STIV CORP US N 2 N N N Deere & Company E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422LQG1 25000000.00000000 PA USD 24997604.25000000 0.482246646433 Long STIV CORP US N 2 N N N UDR, Inc. P3CH2EG5X6Z1XWU1OO74 UDR, Inc. 90352PPA1 10000000.00000000 PA USD 9999460.00000000 0.192906728297 Long STIV CORP US N 2 N N N UNITEDHEALTH GROUP INC 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91058TPP5 25000000.00000000 PA USD 24997343.75000000 0.482241620941 Long STIV CORP US N 2 N N N The Toronto-Dominion Bank N/A Toronto-Dominion Bank 89120DRA9 10000000.00000000 PA USD 10000000.00000000 0.192917145823 Long STIV CORP CA N 2 N N N Federal Agricultural Mortgage Corporation 549300MS654K78GYF580 Federal Agricultural Mortgage Corporation 31422BYJ3 10000000.00000000 PA USD 10000909.60000000 0.192934693566 Long DBT USGSE US N 2 2021-10-18 Floating 0.00188900 N N N N N N Bayerische Motoren Werke AG KK5MZM9DIXLXZL9DZL15 BMW US Capital, LLC 05565EAU9 15706000.00000000 PA USD 15793816.17000000 0.304689793717 Long DBT CORP US N 2 2021-04-12 Fixed 0.03100000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61746BEA0 21845000.00000000 PA USD 21954832.29000000 0.423546358241 Long DBT CORP US N 2 2021-04-21 Fixed 0.02500000 N N N N N N Canadian National Railway Company N/A Canadian National Railway Company 13639CPN9 25000000.00000000 PA USD 24998300.00000000 0.482260068643 Long STIV CORP CA N 2 N N N Lime Funding LLC N/A Lime Funding, LLC 53262QPB4 25000000.00000000 PA USD 24998691.00000000 0.482267611703 Long STIV CORP US N 2 N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corporation 3134GVFL7 15000000.00000000 PA USD 15016766.85000000 0.289699180019 Long DBT USGSE US N 2 2022-03-04 Floating 0.00190000 N N N N N N General Mills, Inc. 2TGYMUGI08PO8X8L6150 General Mills, Inc. 370334CB8 7595000.00000000 PA USD 7602895.84000000 0.146672896544 Long DBT CORP US N 2 2021-04-16 Floating 0.00763400 N N N N N N Sempra Energy N/A Sempra Global 81685LP17 5300000.00000000 PA USD 5299933.75000000 0.102244809210 Long STIV CORP US N 2 N N N Skandinaviska Enskilda Banken AB (publ.) F3JS33DEI6XQ4ZBPTN86 Skandinaviska Enskilda Banken AB 83051GAH1 20514000.00000000 PA USD 20537655.10000000 0.396206580379 Long DBT CORP SE N 2 2021-05-17 Floating 0.00652000 N N N N N N 2021-02-24 Thrivent Core Funds Sarah L. Bergstrom Sarah L. Bergstrom Head of Fund Accounting & Assistant Treasurer XXXX NPORT-EX 2 thrivent_RF18.htm 1.29.2021 SCHEDULE OF INVESTMENTS
Emerging
Markets
Debt
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
1
Principal
Amount
Long-Term
Fixed
Income
(
93.9%
)
Value
Bahrain
(1.3%)
Bahrain
Government
International
Bond
$
4,000,000
6.125%, 
8/1/2023
a
$
4,300,000
2,000,000
7.000%, 
10/12/2028
a
2,313,128
2,500,000
6.750%, 
9/20/2029
a
2,813,855
3,000,000
7.500%, 
9/20/2047
a
3,377,400
1,000,000
7.500%, 
9/20/2047
1,125,800
Total
13,930,183
Brazil
(3.6%)
Brazil
Government
International
Bond
2,900,000
4.750%, 
1/14/2050
2,907,250
4,800,000
2.625%, 
1/5/2023
4,968,000
3,000,000
2.875%, 
6/6/2025
3,097,500
1,000,000
4.500%, 
5/30/2029
1,092,370
3,000,000
3.875%, 
6/12/2030
3,090,000
2,000,000
8.250%, 
1/20/2034
2,760,020
1,505,000
7.125%, 
1/20/2037
1,926,415
7,300,000
5.000%, 
1/27/2045
7,555,500
2,000,000
5.625%, 
2/21/2047
2,233,000
Petrobras
Global
Finance
BV
6,500,000
6.850%, 
6/5/2115
7,582,250
Total
37,212,305
Canada
(0.4%)
Canacol
Energy,
Ltd.
4,500,000
7.250%, 
5/3/2025
4,781,295
Total
4,781,295
Cayman
Islands
(0.7%)
Petrobras
International
Finance
Company
5,000,000
6.750%, 
1/27/2041
5,950,000
Rutas
2
and
7
Finance,
Ltd.
1,500,000
Zero
Coupon, 
9/30/2036
a
1,128,750
Total
7,078,750
Colombia
(5.0%)
Colombia
Government
International
Bond
3,870,000
4.375%, 
7/12/2021
3,931,997
5,000,000
2.625%, 
3/15/2023
5,147,500
3,375,000
3.875%, 
4/25/2027
3,710,812
3,700,000
4.500%, 
3/15/2029
4,204,162
12,786,000
3.125%, 
4/15/2031
b
13,182,494
4,000,000
7.375%, 
9/18/2037
5,590,000
3,000,000
6.125%, 
1/18/2041
3,841,500
4,605,000
5.625%, 
2/26/2044
5,673,360
Ecopetrol
SA
1,000,000
5.375%, 
6/26/2026
1,136,000
3,000,000
6.875%, 
4/29/2030
3,735,000
2,000,000
7.375%, 
9/18/2043
2,600,000
Total
52,752,825
Dominican
Republic
(4.3%)
Dominican
Republic
Government
International
Bond
5,000,000
5.875%, 
1/30/2060
a
5,235,000
3,000,000
6.875%, 
1/29/2026
a
3,546,000
4,000,000
5.950%, 
1/25/2027
a
4,594,000
5,000,000
4.500%, 
1/30/2030
a
5,227,500
5,500,000
4.875%, 
9/23/2032
a
5,865,750
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
Dominican
Republic
(4.3%)
-
continued
$
2,000,000
5.300%, 
1/21/2041
a
$
2,065,000
3,300,000
7.450%, 
4/30/2044
a
4,143,150
4,900,000
6.850%, 
1/27/2045
5,769,750
1,000,000
6.500%, 
2/15/2048
a
1,135,000
8,000,000
6.400%, 
6/5/2049
a
8,960,000
Total
46,541,150
Egypt
(5.4%)
Egypt
Government
International
Bond
2,000,000
8.875%, 
5/29/2050
a
2,262,560
500,000
8.150%, 
11/20/2059
a
529,940
4,000,000
6.125%, 
1/31/2022
4,145,160
3,800,000
5.750%, 
5/29/2024
a
4,090,016
3,000,000
7.500%, 
1/31/2027
3,468,750
10,800,000
7.600%, 
3/1/2029
12,150,648
11,000,000
7.053%, 
1/15/2032
a
11,742,500
5,000,000
7.625%, 
5/29/2032
5,538,000
2,000,000
6.875%, 
4/30/2040
2,048,560
5,000,000
8.500%, 
1/31/2047
5,493,800
6,000,000
7.903%, 
2/21/2048
6,259,404
Total
57,729,338
Ghana
(1.5%)
Ghana
Government
International
Bond
2,000,000
10.750%, 
10/14/2030
2,652,400
5,300,000
8.125%, 
3/26/2032
5,545,708
7,000,000
7.875%, 
2/11/2035
a
7,070,000
Total
15,268,108
Guatemala
(0.6%)
Guatemala
Government
International
Bond
3,000,000
6.125%, 
6/1/2050
a
3,712,500
2,000,000
5.375%, 
4/24/2032
a
2,370,000
Total
6,082,500
Honduras
(0.2%)
Honduras
Government
International
Bond
2,000,000
5.625%, 
6/24/2030
a
2,243,000
Total
2,243,000
Hungary
(0.1%)
Hungary
Government
International
Bond
1,014,000
6.375%, 
3/29/2021
1,023,633
Total
1,023,633
Indonesia
(8.2%)
Indonesia
Government
International
Bond
4,650,000
3.750%, 
4/25/2022
a
4,821,743
4,000,000
3.375%, 
4/15/2023
a
4,226,080
2,397,000
5.875%, 
1/15/2024
a
2,734,234
6,100,000
4.750%, 
1/8/2026
a
7,090,921
4,000,000
3.850%, 
10/15/2030
b
4,621,080
5,000,000
8.500%, 
10/12/2035
a
8,185,476
2,000,000
6.625%, 
2/17/2037
a
2,842,960
2,000,000
7.750%, 
1/17/2038
a
3,142,380
726,000
6.750%, 
1/15/2044
a
1,112,972
3,700,000
5.125%, 
1/15/2045
a
4,742,216
Emerging
Markets
Debt
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
2
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
Indonesia
(8.2%)
-
continued
$
4,000,000
5.950%, 
1/8/2046
a
$
5,704,797
1,200,000
5.250%, 
1/8/2047
a
1,585,644
1,500,000
4.350%, 
1/11/2048
1,773,990
Pertamina
Persero
PT
3,000,000
6.450%, 
5/30/2044
4,048,312
Perusahaan
Listrik
Negara
PT
1,000,000
4.375%, 
2/5/2050
1,062,500
2,000,000
3.375%, 
2/5/2030
2,097,000
2,300,000
5.250%, 
10/24/2042
2,656,500
Perusahaan
Penerbit
SBSN
Indonesia
III
3,000,000
3.400%, 
3/29/2021
a
3,009,360
1,000,000
3.750%, 
3/1/2023
a,b
1,061,020
2,500,000
4.350%, 
9/10/2024
a
2,787,800
1,500,000
4.150%, 
3/29/2027
a
1,706,850
PT
Pertamina
8,700,000
4.150%, 
2/25/2060
a
9,043,032
PT
Perusahaan
Gas
Negara
(Persero)
Tbk
PT
4,000,000
5.125%, 
5/16/2024
4,395,253
Total
84,452,120
Israel
(0.3%)
Israel
Government
International
Bond
3,000,000
3.875%, 
7/3/2050
3,554,640
Total
3,554,640
Ivory
Coast
(0.8%)
Ivory
Coast
Government
International
Bond
7,500,000
6.125%, 
6/15/2033
8,250,750
Total
8,250,750
Jersey
(0.6%)
Galaxy
Pipeline
Assets
Bidco,
Ltd.
6,500,000
2.625%, 
3/31/2036
a
6,562,504
Total
6,562,504
Mauritius
(0.3%)
HTA
Group,
Ltd.
3,000,000
7.000%, 
12/18/2025
a
3,207,000
Total
3,207,000
Mexico
(6.6%)
Mexico
Government
International
Bond
7,160,000
4.500%, 
1/31/2050
7,840,272
5,590,000
5.750%, 
10/12/2110
6,917,681
5,781,000
4.150%, 
3/28/2027
6,612,077
3,885,000
3.750%, 
1/11/2028
4,322,296
1,600,000
4.500%, 
4/22/2029
1,842,400
4,000,000
6.050%, 
1/11/2040
5,105,040
6,000,000
5.550%, 
1/21/2045
b
7,455,060
5,250,000
4.600%, 
1/23/2046
5,775,053
2,000,000
4.600%, 
2/10/2048
2,200,020
Petroleos
Mexicanos
3,000,000
7.690%, 
1/23/2050
2,836,440
8,700,000
6.840%, 
1/23/2030
8,743,500
3,000,000
5.950%, 
1/28/2031
2,842,500
5,100,000
6.625%, 
6/15/2035
4,794,179
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
Mexico
(6.6%)
-
continued
Total
Play
Telecomunicaciones
SA
de
CV
$
3,000,000
7.500%, 
11/12/2025
a
$
2,964,300
Total
70,250,818
Morocco
(0.9%)
Morocco
Government
International
Bond
4,000,000
2.375%, 
12/15/2027
a
4,015,000
5,300,000
3.000%, 
12/15/2032
a
5,338,478
Total
9,353,478
Netherlands
(0.6%)
IHS
Netherlands
Holdco
BV
3,000,000
8.000%, 
9/18/2027
a
3,213,750
Petrobras
Global
Finance
BV
3,000,000
5.600%, 
1/3/2031
3,349,500
Total
6,563,250
Nigeria
(2.2%)
Nigeria
Government
International
Bond
2,000,000
6.375%, 
7/12/2023
2,169,688
1,000,000
8.747%, 
1/21/2031
1,162,500
12,600,000
7.875%, 
2/16/2032
13,782,384
3,000,000
7.696%, 
2/23/2038
3,157,950
3,000,000
7.625%, 
11/28/2047
3,121,440
Total
23,393,962
Oman
(3.8%)
Oman
Government
International
Bond
1,000,000
3.625%, 
6/15/2021
a
1,002,500
3,000,000
4.125%, 
1/17/2023
a
3,046,740
2,000,000
5.932%, 
10/31/2025
a
2,200,800
5,000,000
4.750%, 
6/15/2026
a,b
5,100,300
4,000,000
5.625%, 
1/17/2028
a
4,140,000
4,000,000
6.250%, 
1/25/2031
a
4,240,128
11,000,000
7.375%, 
10/28/2032
a
12,474,154
7,500,000
6.750%, 
1/17/2048
a
7,391,550
Total
39,596,172
Panama
(1.5%)
Panama
Government
International
Bond
2,000,000
4.500%, 
4/16/2050
2,452,520
1,000,000
9.375%, 
1/16/2023
1,158,760
3,000,000
3.750%, 
3/16/2025
3,301,530
2,000,000
3.875%, 
3/17/2028
2,260,020
5,079,000
6.700%, 
1/26/2036
7,275,718
Total
16,448,548
Paraguay
(1.2%)
Paraguay
Government
International
Bond
9,800,000
5.400%, 
3/30/2050
12,176,500
Total
12,176,500
Peru
(1.3%)
Peru
Government
International
Bond
2,650,000
5.625%, 
11/18/2050
4,028,000
1,000,000
7.350%, 
7/21/2025
1,270,000
Emerging
Markets
Debt
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
3
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
Peru
(1.3%)
-
continued
$
5,000,000
8.750%, 
11/21/2033
$
8,406,300
Total
13,704,300
Philippines
(2.1%)
Philippines
Government
International
Bond
3,000,000
4.200%, 
1/21/2024
3,320,737
3,000,000
3.750%, 
1/14/2029
3,471,300
5,025,000
7.750%, 
1/14/2031
7,702,999
2,625,000
6.375%, 
10/23/2034
3,834,784
3,720,000
3.950%, 
1/20/2040
4,370,995
Total
22,700,815
Qatar
(7.2%)
Qatar
Government
International
Bond
5,700,000
4.400%, 
4/16/2050
a
7,290,015
6,000,000
4.500%, 
1/20/2022
a
6,228,600
3,000,000
3.875%, 
4/23/2023
a
3,217,500
6,000,000
3.375%, 
3/14/2024
a
6,485,028
3,000,000
3.250%, 
6/2/2026
a
3,323,070
11,500,000
4.500%, 
4/23/2028
a
13,801,150
1,000,000
4.000%, 
3/14/2029
a
1,173,750
6,000,000
3.750%, 
4/16/2030
a
6,981,600
2,000,000
9.750%, 
6/15/2030
a
3,356,584
2,000,000
5.750%, 
1/20/2042
a
2,928,000
7,750,000
5.103%, 
4/23/2048
a
10,684,847
8,000,000
4.817%, 
3/14/2049
a
10,727,984
Total
76,198,128
Russian
Federation
(4.5%)
Russia
Government
International
Bond
2,000,000
4.500%, 
4/4/2022
a
2,080,000
7,600,000
4.750%, 
5/27/2026
8,738,480
4,000,000
4.250%, 
6/23/2027
a
4,545,664
2,000,000
12.750%, 
6/24/2028
a
3,386,740
2,400,000
4.375%, 
3/21/2029
2,766,374
6,000,000
4.375%, 
3/21/2029
a
6,915,936
765,000
7.500%, 
3/31/2030
a
884,435
2,600,000
5.100%, 
3/28/2035
a
3,232,840
5,000,000
5.625%, 
4/4/2042
a
6,755,900
6,000,000
5.250%, 
6/23/2047
a
8,042,724
Total
47,349,093
Saudi
Arabia
(7.8%)
Saudi
Arabia
Government
International
Bond
3,000,000
5.250%, 
1/16/2050
a
3,948,000
11,000,000
3.750%, 
1/21/2055
11,604,120
2,500,000
2.375%, 
10/26/2021
a
2,531,250
3,000,000
2.875%, 
3/4/2023
a
3,131,706
6,000,000
4.000%, 
4/17/2025
a
6,689,280
8,300,000
3.250%, 
10/26/2026
a
9,107,756
6,000,000
3.625%, 
3/4/2028
a
6,706,080
3,800,000
4.375%, 
4/16/2029
a
4,465,000
10,000,000
3.250%, 
10/22/2030
a
10,888,000
5,250,000
4.500%, 
10/26/2046
a
6,176,625
4,000,000
4.625%, 
10/4/2047
a
4,790,400
6,700,000
5.000%, 
4/17/2049
a
8,498,280
Saudi
Arabian
Oil
Company
1,500,000
1.625%, 
11/24/2025
a
1,528,223
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
Saudi
Arabia
(7.8%)
-
continued
$
3,500,000
2.250%, 
11/24/2030
a
$
3,495,711
Total
83,560,431
South
Africa
(2.2%)
Eskom
Holdings
SOC,
Ltd.
1,500,000
6.350%, 
8/10/2028
a
1,661,475
South
Africa
Government
International
Bond
4,125,000
5.875%, 
5/30/2022
4,373,754
2,000,000
4.665%, 
1/17/2024
2,147,360
1,500,000
4.850%, 
9/27/2027
1,595,850
2,500,000
5.875%, 
6/22/2030
2,749,880
4,500,000
6.250%, 
3/8/2041
4,701,690
5,200,000
5.650%, 
9/27/2047
4,966,780
Total
22,196,789
Supranational
(0.8%)
African
Export-Import
Bank
3,000,000
3.994%, 
9/21/2029
a
3,250,680
Banque
Ouest
Africaine
de
Developpement
4,500,000
4.700%, 
10/22/2031
a
4,914,540
Total
8,165,220
Trinidad
and
Tobago
(0.3%)
Telecommunications
Services
of
Trinidad
and
Tobago,
Ltd.
3,000,000
8.875%, 
10/18/2029
a
3,112,500
Total
3,112,500
Turkey
(8.5%)
Hazine
Mustesarligi
Varlik
Kiralama
AS
3,000,000
5.800%, 
2/21/2022
a
3,077,400
Turkey
Government
International
Bond
2,500,000
5.625%, 
3/30/2021
2,509,615
3,000,000
6.250%, 
9/26/2022
3,138,780
5,000,000
7.250%, 
12/23/2023
5,465,650
8,000,000
5.750%, 
3/22/2024
8,424,000
6,000,000
6.375%, 
10/14/2025
6,498,000
4,000,000
4.750%, 
1/26/2026
4,060,000
7,042,000
4.875%, 
10/9/2026
7,130,025
1,000,000
5.125%, 
2/17/2028
1,010,196
8,000,000
7.625%, 
4/26/2029
9,219,040
7,000,000
5.250%, 
3/13/2030
b
6,956,908
12,500,000
5.950%, 
1/15/2031
12,831,250
3,439,000
6.875%, 
3/17/2036
3,670,266
5,935,000
6.750%, 
5/30/2040
6,149,016
6,500,000
6.625%, 
2/17/2045
6,581,250
3,000,000
5.750%, 
5/11/2047
2,743,560
Total
89,464,956
Ukraine
(1.7%)
Ukraine
Government
International
Bond
2,700,000
9.750%, 
11/1/2028
3,274,047
13,500,000
7.375%, 
9/25/2032
14,475,780
Total
17,749,827
Emerging
Markets
Debt
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
4
Principal
Amount
Long-Term
Fixed
Income
(93.9%)
Value
United
Arab
Emirates
(4.5%)
Abu
Dhabi
Government
International
Bond
$
9,500,000
3.875%, 
4/16/2050
a
$
11,297,400
3,000,000
2.500%, 
10/11/2022
a
3,099,540
3,000,000
3.125%, 
5/3/2026
a
3,312,000
5,500,000
3.125%, 
10/11/2027
a
6,133,710
7,500,000
2.500%, 
9/30/2029
a
7,995,600
4,000,000
4.125%, 
10/11/2047
a
4,920,000
Finance
Department
Government
of
Sharjah
7,000,000
4.000%, 
7/28/2050
a
7,061,460
Tabreed
Sukuk,
Ltd.
2,000,000
5.500%, 
10/31/2025
2,326,232
Total
46,145,942
United
Kingdom
(0.9%)
Gazprom
PJSC
5,000,000
3.250%, 
2/25/2030
a
5,052,700
NAK
Naftogaz
Ukraine
4,000,000
7.625%, 
11/8/2026
a
4,067,601
Total
9,120,301
Uruguay
(1.6%)
Uruguay
Government
International
Bond
4,000,000
4.975%, 
4/20/2055
5,335,040
4,000,000
5.100%, 
6/18/2050
5,375,040
4,840,312
4.375%, 
1/23/2031
5,820,524
Total
16,530,604
Vietnam
(0.4%)
Vietnam
Government
International
Bond
4,000,000
4.800%, 
11/19/2024
4,500,000
Total
4,500,000
Total
Long-Term
Fixed
Income
(cost
$909,462,174)
988,951,735
Shares
Collateral
Held
for
Securities
Loaned
(
1.9%
)
20,360,775
Thrivent
Cash
Management
Trust
20,360,775
Total
Collateral
Held
for
Securities
Loaned
(cost
$20,360,775)
20,360,775
Shares
Registered
Investment
Companies
(
1.0%
)
Value
Unaffiliated  (1.0%)
88,000
iShares
J.P.
Morgan
USD
Emerging
Markets
Bond
ETF
10,018,800
Total
10,018,800
Total
Registered
Investment
Companies
(cost
$8,571,298)
10,018,800
Shares
Short-Term
Investments
(
4.3%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
4,556,193
0.200%
$
45,561,934
Total
Short-Term
Investments
(cost
$45,561,934)
45,561,934
Total
Investments
(cost
$983,956,181)
101.1%
$1,064,893,244
Other
Assets
and
Liabilities,
Net
(1.1%)
(11,406,568)
Total
Net
Assets
100.0%
$1,053,486,676
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
January
29,
2021,
the
value
of
these
investments
was
$470,375,022
or
44.6%
of
total
net
assets.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Core
Emerging
Markets
Debt
Fund
as
of
January
29,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
19,758,290
Total
lending
$19,758,290
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$20,360,775
Net
amounts
due
to
counterparty
$602,485
Definitions:
ETF
-
Exchange
Traded
Fund
Emerging
Markets
Debt
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
5
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
January
29,
2021,
in
valuing
Emerging
Markets
Debt
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Capital
Goods
6,562,504
6,562,504
Communications
Services
9,290,550
9,290,550
Consumer
Cyclical
3,207,000
3,207,000
Energy
63,091,309
63,091,309
Financials
1,128,750
1,128,750
Foreign
Government
899,614,894
899,614,894
Utilities
6,056,728
6,056,728
Registered
Investment
Companies
Unaffiliated
10,018,800
10,018,800
Subtotal
Investments
in
Securities
$998,970,535
$10,018,800
$988,951,735
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
45,561,934
Collateral
Held
for
Securities
Loaned
20,360,775
Subtotal
Other
Investments
$65,922,709
Total
Investments
at
Value
$1,064,893,244
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
this
table
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
The
Fund
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Fund.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.  
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Emerging
Markets
Debt
Fund,
is
as
follows:
Fund
Value
10/31/2020
Gross
Purchases
Gross
Sales
Value
1/29/2021
Shares
Held
at
1/29/2021
%
of
Net
Assets
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$32,552
$60,528
$47,518
$45,562
4,556
4.3%
Total
Affiliated
Short-Term
Investments
32,552
45,562
4.3
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
6,981
47,039
33,659
20,361
20,361
1.9
Total
Collateral
Held
for
Securities
Loaned
6,981
20,361
1.9
Total
Value
$39,533
$65,923
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2020
-
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$(8)
$8
$20
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$20
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
3
Total
Affiliated
Income
from
Securities
Loaned,
Net
$3
Total
Value
$(8)
$8
$0
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
6
Shares
Common
Stock
(
98.1%
)
Value
Argentina
(<0.1%)
20,118
Telecom
Argentina
SA
ADR
$
130,365
Total
130,365
Bermuda
(0.2%)
162,000
Road
King
Infrastructure,
Ltd.
200,945
730,200
Shanghai
Industrial
Urban
Development
Group,
Ltd.
69,523
2,138,000
Yuexiu
Transport
Infrastructure,
Ltd.
1,437,328
Total
1,707,796
Brazil
(4.4%)
158,300
Ambev
SA
438,035
102,900
Atacadao
SA
358,271
8,600
B2W
-
Companhia
Digital
a
127,505
149,300
B3
SA
-
Brasil
Bolsa
Balcao
1,633,966
138,000
Banco
ABC
Brasil
SA
378,835
448,003
Banco
Bradesco
SA
ADR
2,033,934
5,900
Banco
BTG
Pactual
SA
102,140
113,200
Banco
do
Brasil
SA
697,854
4,100
Banco
Inter
SA
99,109
115,526
Banco
Santander
Brasil
SA
ADR
834,098
59,700
BB
Seguridade
Participacoes
SA
302,024
44,100
BRF
SA
a
171,841
70,100
CCR
SA
155,154
12,464
Centrais
Eletricas
Brasileiras
SA
ADR
64,439
17,200
Cia
Brasileira
de
Distribuicao
236,872
97,060
Companhia
Siderurgica
Nacional
SA
ADR
534,801
183,700
EDP
-
Energias
do
Brasil
SA
647,989
147,986
Gerdau
SA
ADR
627,461
15,800
Hypera
SA
93,794
436,718
Itau
Unibanco
Holding
SA
ADR
2,279,668
756,900
Itausa
SA
1,469,145
187,500
JBS
SA
827,942
69,500
Klabin
SA
356,938
31,800
Localiza
Rent
a
Car
SA
370,808
177,900
Magazine
Luiza
SA
816,765
42,700
Natura
&
Company
Holding
SA
a
383,109
77,500
Petrobras
Distribuidora
SA
330,743
537,200
Petroleo
Brasileiro
SA
2,631,312
153,822
Petroleo
Brasileiro
SA
ADR
1,545,911
242,700
Raia
Drogasil
SA
1,104,513
39,900
Rumo
SA
a
147,162
37,100
Suzano
SA
a
419,997
82,798
Telefonica
Brasil
SA
ADR
683,912
15,048
TIM
SA
ADR
181,178
192,579
Vale
SA
ADR
3,110,151
65,200
Via
Varejo
SA
a
174,577
79,300
WEG
SA
1,214,559
Total
27,586,512
Cayman
Islands
(16.8%)
43,353
Baidu.com,
Inc.
ADR
a
10,188,822
184,000
Bizlink
Holding,
Inc.
2,031,001
78,000
China
Meidong
Auto
Holdings,
Ltd.
262,311
996,000
China
Resources
Land,
Ltd.
3,941,316
89,500
China
Resources
Medical
Holdings
Company,
Ltd.
88,025
612,000
Consun
Pharmaceutical
Group,
Ltd.
250,965
171,100
ENN
Energy
Holdings,
Ltd.
2,638,777
81,000
Fu
Shou
Yuan
International
Group,
Ltd.
77,060
Shares
Common
Stock
(98.1%)
Value
Cayman
Islands
(16.8%)
-
continued
276,000
Goodbaby
International
Holdings,
Ltd.
a
$
34,748
1,340,000
IGG,
Inc.
1,736,773
11,469
JOYY,
Inc.
ADR
1,055,607
266,500
Kingboard
Holdings,
Ltd.
1,085,998
512,000
Longfor
Group
Holdings,
Ltd.
b
2,883,312
200,900
Meituan
Dianping
a
9,263,379
71,991
NetEase
,
Inc.
ADR
8,278,245
20,266
New
Oriental
Education
&
Technology
Group,
Inc.
ADR
a
3,394,555
36,601
NIO,
Inc.
ADR
a
2,086,257
12,249
Pinduoduo
,
Inc.
ADR
a
2,029,782
190,500
Shimao
Property
Holdings,
Ltd.
550,801
5,114
Shimao
Services
Holdings,
Ltd.
a,b
8,997
5,317,500
Shui
On
Land,
Ltd.
787,019
478,200
Tencent
Holdings,
Ltd.
42,609,202
562,000
Tingyi
(Cayman
Islands)
Holding
Corporation
1,116,718
139,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
1,953,269
981,000
Xiabuxiabu
Catering
Management
Holdings
Company,
Ltd.
b
2,168,249
38,800
Xiaomi
Corporation
a,b
144,906
456,500
Zhongsheng
Group
Holdings,
Ltd.
2,673,444
Total
103,339,538
Chile
(0.8%)
18,336
Banco
de
Chile
ADR
376,438
7,373
Banco
de
Credito
e
Inversiones
SA
309,044
35,818
CAP
SA
455,762
39,914
Cia
Cervecerias
Unidas
SA
ADR
656,585
2,494,640
Colbun
SA
430,140
153,397
Embotelladora
Andina
SA
388,289
150,442
Empresas
CMPC
SA
402,306
9,623
Empresas
Copec
SA
101,033
28,775
Enel
Chile
SA
ADR
105,892
202,009
SMU
SA
28,878
9,866
Sociedad
Quimica
y
Minera
de
Chile
SA
ADR
502,574
Total
3,756,941
China
(23.4%)
2,230,400
Agricultural
Bank
of
China,
Ltd.
1,085,970
48,957
Aier
Eye
Hospital
Group
Company,
Ltd.
595,052
157,452
Alibaba
Group
Holding,
Ltd.
ADR
a
39,966,041
403,500
Anhui
Conch
Cement
Company,
Ltd.,
Class
H
2,383,810
12,210
Autohome
,
Inc.
ADR
1,345,908
4,522,000
Bank
of
China,
Ltd.
1,530,625
732,000
Bank
of
Communications
Company,
Ltd.
395,815
1,263,800
Bank
of
Hangzhou
Company,
Ltd.
2,869,490
1,666,500
Bank
of
Jiangsu
Company,
Ltd.
1,421,298
132,000
Beijing
North
Star
Company,
Ltd.
24,079
49,882
BYD
Company,
Ltd.
Class
A
1,889,188
85,500
BYD
Company,
Ltd.
Class
H
2,582,411
95,900
By-health
Company,
Ltd.
328,873
2,370,000
China
Cinda
Asset
Management
Company,
Ltd.
448,028
4,555,000
China
Construction
Bank
Corporation
3,450,042
748,800
China
International
Capital
Corporation,
Ltd.
a,b
1,952,269
7,155
China
Life
Insurance
Company,
Ltd.
39,852
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
7
Shares
Common
Stock
(98.1%)
Value
China
(23.4%)
-
continued
155,000
China
Longyuan
Power
Group
Corporation,
Ltd.
$
226,894
395,500
China
Merchants
Bank
Company,
Ltd.
3,028,690
124,300
China
Merchants
Shekou
Industrial
Zone
Holdings
Company,
Ltd.
226,695
546,000
China
National
Building
Material
Company,
Ltd.
650,731
34,686
China
Petroleum
&
Chemical
Corporation
ADR
1,644,810
108,000
China
Resources
Sanjiu
Medical
and
Pharmaceutical
Company,
Ltd.
414,148
530,400
China
Vanke
Company,
Ltd.
Class
H
1,897,694
5,000
Contemporary
Amperex
Technology
Company,
Ltd.
270,599
188,081
COSCO
SHIPPING
Holdings
Company,
Ltd.
Class
A
a
360,115
607,000
COSCO
SHIPPING
Holdings
Company,
Ltd.
Class
H
a
614,389
120,569
Foshan
Haitian
Flavouring
and
Food
Company,
Ltd.
3,667,545
1,095,000
GF
Securities
Company,
Ltd.
1,595,654
633,082
Henan
Shuanghui
Investment
&
Development
Company,
Ltd.
4,594,688
408,561
Huadong
Medicine
Company,
Ltd.
1,662,573
3,556,800
Industrial
and
Commercial
Bank
of
China,
Ltd.,
Class
A
2,798,661
7,706,000
Industrial
and
Commercial
Bank
of
China,
Ltd.,
Class
H
4,915,430
1,190,881
Industrial
Bank
Company,
Ltd.
4,248,395
52,200
Inner
Mongolia
Eerduosi
Resources
Company,
Ltd.
89,717
96,039
JD.com,
Inc.
ADR
a
8,517,699
380,000
Jiangxi
Copper
Company,
Ltd.
624,277
92,700
Kingfa
Sci.
&
Tech.
Company,
Ltd.
401,127
16,000
Kweichow
Moutai
Company,
Ltd.
5,229,000
87,800
Livzon
Pharmaceutical
Group,
Inc.
481,645
1,656,100
Metallurgical
Corporation
of
China,
Ltd.
720,798
34,700
Midea
Group
Company,
Ltd.
515,698
789,900
Oceanwide
Holdings
Company,
Ltd.
357,326
596,500
Ping
An
Insurance
Company
of
China,
Ltd.
7,025,450
2,456,000
Postal
Savings
Bank
of
China
Company,
Ltd.
b
1,752,239
351,782
S.
F.
Holding
Company,
Ltd.
5,371,649
198,800
Shandong
Sun
Paper
Industry
Joint
Stock
Company,
Ltd.
485,061
23,000
Shanghai
Haohai
Biological
Technology
Company,
Ltd.
b
182,951
85,300
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.
147,441
127,100
Shenzhou
International
Group
Holdings,
Ltd.
2,478,642
380,000
Sinopharm
Group
Company,
Ltd.
931,248
941,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
593,490
198,000
Tsingtao
Brewery
Company,
Ltd.
1,909,454
68,660
Vipshop
Holdings,
Ltd.
ADR
a
1,882,657
7,200
Wuliangye
Yibin
Company,
Ltd.
323,412
21,678
WuXi
AppTec
Company,
Ltd.
556,274
663,400
Xiamen
C&D,
Inc.
791,947
Shares
Common
Stock
(98.1%)
Value
China
(23.4%)
-
continued
31,600
Yunnan
Baiyao
Group
Company,
Ltd.
$
648,647
2,060,000
Zijin
Mining
Group
Company,
Ltd.
2,273,964
Total
139,418,275
Colombia
(0.1%)
24,145
Bancolombia
SA
ADR
849,663
25,052
Interconexion
Electrica
SA
168,113
Total
1,017,776
Czech
Republic
(0.3%)
45,757
CEZ
AS
1,097,249
24,717
Komercni
Banka
AS
a
750,211
259
Philip
Morris
CR
183,557
Total
2,031,017
Egypt
(0.3%)
247,833
Commercial
International
Bank
Egypt
SAE
GDR
977,507
909,368
EFG
Hermes
Holding
Company
a
912,144
Total
1,889,651
Greece
(0.5%)
68,527
Hellenic
Telecommnications
Organization
SA
996,083
8,945
Motor
Oil
(Hellas)
Diilistiria
Korinthou
AE
125,738
105,000
Mytilineos
SA
1,528,775
13,634
OPAP
SA
166,910
5,537
Public
Power
Corporation
SA
a
47,261
3,346
Sarantis
SA
36,829
Total
2,901,596
Hong
Kong
(1.0%)
2,459,000
CITIC,
Ltd.
1,914,263
617,440
CSPC
Pharmaceutical
Group,
Ltd.
627,689
438,000
Far
East
Horizon,
Ltd.
451,594
544,000
Hang
Lung
Group,
Ltd.
1,375,853
605,000
Shanghai
Industrial
Holdings,
Ltd.
828,993
5,690,000
Yuexiu
Property
Company,
Ltd.
1,111,482
Total
6,309,874
Hungary
(0.2%)
10,160
OTP
Bank
Nyrt
a
463,253
13,940
Richter
Gedeon
Nyrt
392,683
Total
855,936
India
(8.5%)
273,661
Amara
Raja
Batteries,
Ltd.
3,437,791
317,537
Ambuja
Cements,
Ltd.
1,057,245
27,880
APL
Apollo
Tubes,
Ltd.
a
345,958
34,933
Apollo
Hospitals
Enterprise,
Ltd.
1,223,864
25,673
Asian
Paints,
Ltd.
845,886
33,619
Aurobindo
Pharma,
Ltd.
415,723
88,950
Bajaj
Auto,
Ltd.
4,878,349
121,412
Cipla
,
Ltd.
1,372,170
8,422
Cyient
,
Ltd.
69,669
6,404
Dr.
Lal
PathLabs
,
Ltd.
b
196,803
3,602
Endurance
Technologies,
Ltd.
b
68,212
181,030
Glenmark
Pharmaceuticals,
Ltd.
1,166,809
101,405
Granules
India,
Ltd.
467,051
21,383
Graphite
India,
Ltd.
92,010
32,532
Greaves
Cotton,
Ltd.
a
38,099
362,252
HCL
Technologies,
Ltd.
4,525,525
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
8
Shares
Common
Stock
(98.1%)
Value
India
(8.5%)
-
continued
127,341
Heidelberg
Cement
India,
Ltd.
$
384,514
68,031
Hero
Motocorp
,
Ltd.
3,029,556
23,321
Housing
Development
Finance
Corporation
758,327
432,180
Infosys,
Ltd.
ADR
7,295,198
57,111
InterGlobe
Aviation,
Ltd.
a,b
1,209,970
228,509
Jindal
Saw,
Ltd.
220,732
11,609
Kalpataru
Power
Transmission,
Ltd.
49,997
22,680
Multi
Commodity
Exchange
of
India,
Ltd.
509,903
446,933
Oil
and
Natural
Gas
Corporation,
Ltd.
538,710
18,648
Persistent
Systems,
Ltd.
389,012
85,789
PNB
Housing
Finance,
Ltd.
a,b
392,663
160,692
Reliance
Industries,
Ltd.
4,043,959
9,308
Siemens,
Ltd.
202,001
69,844
Tata
Consultancy
Services,
Ltd.
2,971,632
89,003
Tata
Elxsi
,
Ltd.
3,270,416
56,397
Tech
Mahindra,
Ltd.
740,428
261,194
UPL,
Ltd.
2,005,410
555,971
Wipro,
Ltd.
ADR
3,419,222
Total
51,632,814
Indonesia
(0.3%)
1,544,700
Astra
International
Tbk
PT
669,364
4,114,900
Mitra
Adiperkasa
Tbk
PT
a
225,168
56,738
Telekomunikasi
Indonesia
Persero
Tbk
PT
ADR
1,277,172
Total
2,171,704
Jersey
(<0.1%)
11,098
Polymetal
International
plc
239,703
Total
239,703
Luxembourg
(<0.1%)
7,465
Allegro.eu
SA
a,b
147,294
9,818
Reinet
Investments
SCA
171,940
Total
319,234
Malaysia
(0.2%)
26,100
AEON
Credit
Service
(M)
Berhad
69,642
337,132
Berjaya
Sports
Toto
Berhad
169,137
189,300
Bursa
Malaysia
Berhad
437,331
552,600
Mah
Sing
Group
Berhad
109,503
1,337,200
Serba
Dinamik
Holdings
Berhad
528,831
51,200
TIME
dotCom
Berhad
175,817
229,300
Yinson
Holdings
Berhad
294,128
Total
1,784,389
Mexico
(1.2%)
174,300
Alfa
SAB
de
CV
109,432
115,086
America
Movil
SAB
de
CV
ADR
1,520,286
6,027
Coca-Cola
FEMSA
SAB
de
CV
ADR
262,416
174,300
Controladora
Nemak
,
SAB
de
CV
a
22,703
115,520
Corporacion
Inmobiliaria
Vesta
,
SAB
de
CV
217,808
7,166
Fomento
Economico
Mexicano
SAB
de
CV
ADR
487,646
10,970
Grupo
Aeroportuario
del
Sureste
,
SAB
de
CV
a
172,676
303,300
Grupo
Financiero
Banorte
SAB
de
CV
ADR
a
1,510,656
92,700
Grupo
Financiero
Inbursa
,
SAB
de
CV
a
83,117
246,600
Grupo
Mexico,
SAB
de
CV
1,064,281
Shares
Common
Stock
(98.1%)
Value
Mexico
(1.2%)
-
continued
10,380
Industrias
Penoles
,
SAB
de
CV
a
$
154,958
34,600
Megacable
Holdings
SAB
de
CV
125,528
1,061,600
Wal-Mart
de
Mexico,
SAB
de
CV
3,022,859
Total
8,754,366
Netherlands
(0.1%)
12,361
Yandex
NV
a
777,782
Total
777,782
Peru
(0.1%)
50,098
Cia
de
Minas
Buenaventura
SA
ADR
a
509,998
Total
509,998
Philippines
(0.4%)
10,235
Globe
Telecom,
Inc.
412,623
150,850
Jollibee
Foods
Corporation
556,204
68,480
Manila
Electric
Company
371,023
535,440
Puregold
Price
Club,
Inc.
400,121
Total
1,739,971
Poland
(0.7%)
112,949
Asseco
Poland
SA
2,056,020
1,789
Bank
Handlowy
w
Warszawie
SA
a
18,569
15,560
Bank
Pekao
SA
a
264,832
13,069
CD
Projekt
SA
a,c
1,065,767
47,648
Cyfrowy
Polsat
SA
390,179
3,794
KGHM
Polska
Miedz
SA
a
190,962
1,325
mBank
SA
a
69,288
81,320
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
a
627,876
2,296
Santander
Bank
Polska
SA
a
111,104
Total
4,794,597
Russian
Federation
(2.9%)
355,500
Alrosa
PJSC
466,893
299,084
Gazprom
PJSC
ADR
1,662,583
23,446
Lukoil
ADR
1,659,381
72,780
M.Video
PJSC
686,863
21,457
Magnit
OJSC
GDR
319,027
21,535
Mechel
PJSC
ADR
a
37,040
3,517
MMC
Norilsk
Nickel
PJSC
ADR
112,918
68,727
Mobile
TeleSystems
PJSC
ADR
618,543
3,769
Novatek
PJSC
GDR
628,929
6,227
Novolipetsk
Steel
OJSC
GDR
173,199
795
PAO
Transneft
1,502,143
140,220
PJSC
Rostelecom
186,872
293,164
Rosneft
Oil
Company
PJSC
GDR
1,809,101
1,467,120
Sberbank
of
Russia
PJSC
4,977,048
62,327
Severstal
PJSC
1,034,378
2,485,300
Surgutneftegas
PJSC
1,310,355
236,710
Surgutneftegas
PJSC
ADR
1,032,463
Total
18,217,736
Saudi
Arabia
(3.1%)
27,399
Advanced
Petrochemical
Company
466,057
85,500
Al
Rajhi
Bank
1,661,201
30,111
Arab
National
Bank
162,924
39,961
Arabian
Cement
Company
483,172
52,649
Arriyadh
Development
Company
254,633
36,617
Banque
Saudi
Fransi
327,906
38,389
Eastern
Province
Cement
Company
462,604
28,293
Jarir
Marketing
Company
1,318,585
9,911
National
Medical
Care
Company
138,679
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
9
Shares
Common
Stock
(98.1%)
Value
Saudi
Arabia
(3.1%)
-
continued
15,465
Qassim
Cement
Company
$
371,721
241,185
Riyad
Bank
1,369,606
119,813
Sahara
International
Petrochemical
Company
586,055
11,511
Saudi
Arabian
Mining
Company
a
128,493
264,700
Saudi
Arabian
Oil
Company
b
2,450,698
104,748
Saudi
Basic
Industries
Corporation
2,860,406
41,354
Saudi
Industrial
Investment
Group
Company
283,454
15,942
Saudi
Telecom
Company
480,349
21,016
Southern
Province
Cement
Company
498,687
173,400
The
National
Commercial
Bank
1,993,120
134,605
The
Saudi
British
Bank
960,131
9,787
United
International
Transportation
Company
101,893
Total
17,360,374
Singapore
(<0.1%)
9,317
China
Yuchai
International,
Ltd.
148,793
Total
148,793
South
Africa
(3.4%)
215,526
AECI,
Ltd.
1,296,861
13,247
African
Rainbow
Minerals,
Ltd.
240,224
8,057
Anglo
American
Platinum,
Ltd.
801,555
20,056
AngloGold
Ashanti,
Ltd.
ADR
470,514
22,362
Aspen
Pharmacare
Holdings,
Ltd.
a
211,100
130,477
Barloworld,
Ltd.
a
812,067
3,060
Capitec
Bank
Holdings,
Ltd.
a
280,104
14,456
Clicks
Group,
Ltd.
237,508
202,633
DataTec
,
Ltd.
a
330,911
208,086
FirstRand,
Ltd.
653,547
47,286
Gold
Fields,
Ltd.
ADR
441,178
50,238
Harmony
Gold
Mining
Company,
Ltd.
ADR
a
223,559
44,195
Impala
Platinum
Holdings,
Ltd.
596,834
101,424
Investec,
Ltd.
256,610
19,950
Kumba
Iron
Ore,
Ltd.
802,247
489,663
Momentum
Metropolitan
Holdings
533,207
50,423
Motus
Holdings,
Ltd.
a
205,259
60,565
Mr
Price
Group,
Ltd.
688,191
88,618
MTN
Group,
Ltd.
365,598
52,388
MultiChoice
Group,
Ltd.
446,132
37,431
Naspers,
Ltd.
8,658,888
293,400
Ninety
One,
Ltd.
897,947
15,003
Northam
Platinum,
Ltd.
a
186,388
49,331
Pick
n
Pay
Stores,
Ltd.
173,559
33,372
Sasol,
Ltd.
a
359,730
37,984
Shoprite
Holdings,
Ltd.
351,060
209,870
Sibanye
Stillwater,
Ltd.
796,703
29,887
Spar
Group,
Ltd.
383,463
75,137
Standard
Bank
Group
622,901
11,912
Tiger
Brands,
Ltd.
156,931
Total
22,480,776
South
Korea
(13.3%)
5,032
Binggrae
Company,
Ltd.
a
251,241
61,352
Cheil
Worldwide,
Inc.
1,056,077
16,005
Chong
Kun
Dang
Pharmaceutical
Corporation
a
2,618,478
9,970
Daou
Technology,
Inc.
a
236,420
32,000
DongKook
Pharmaceutical
Company,
Ltd.
a
888,225
9,016
Green
Cross
Holdings
Corporation
a
352,379
Shares
Common
Stock
(98.1%)
Value
South
Korea
(13.3%)
-
continued
24,993
Hancom
,
Inc.
a
$
381,358
10,389
Hansol
Chemical
Company,
Ltd.
a
1,782,762
7,284
Hanwha
Aerospace
Company,
Ltd.
a
264,670
11,995
Hanwha
Investment
&
Securities
Corporation,
Ltd.
a
28,008
938,952
Hanwha
Life
Insurance
Corporation,
Ltd.
a
2,235,301
3,373
Hyundai
Glovis
Company,
Ltd.
572,001
2,399
Hyundai
Motor
Company
489,136
20,093
Hyundai
Steel
Company
695,183
76,903
JB
Financial
Group
Corporation,
Ltd.
a
356,038
3,851
KEPCO
Plant
Service
&
Engineering
Company,
Ltd.
a
93,182
74,683
Kia
Motors
Corporation
5,473,381
5,284
Korea
Zinc
Company,
Ltd.
a
1,906,599
5,149
LG
Chem
,
Ltd.
4,199,797
4,004
LG
Electronics,
Inc.
546,640
49,034
LG
International
Corporation
1,154,758
23,166
LS
Electric
Company,
Ltd.
a
1,267,060
8,519
Meritz
Fire
&
Marine
Insurance
Company,
Ltd.
a
120,387
70,993
Mirae
Asset
Daewoo
Company,
Ltd.
a
601,261
5,182
NCSoft
Corporation
a
4,390,453
35,668
Poongsan
Corporation
a
905,730
13,153
POSCO
2,887,161
8,838
Samsung
Electro-Mechanics
Company,
Ltd.
1,607,530
402,741
Samsung
Electronics
Company,
Ltd.
29,443,196
76,988
Samsung
Securities
Corporation,
Ltd.
2,596,179
21,678
Sillicon
Works
Company,
Ltd.
1,315,245
9,596
SK
Holdings
Company,
Ltd.
2,666,546
65,321
SK
Hynix,
Inc.
7,131,782
1,030
Taekwang
Industrial
Corporation,
Ltd.
a
771,543
Total
81,285,707
Taiwan
(13.4%)
299,000
BES
Engineering
Corporation
88,808
707,000
Capital
Securities
Corporation
337,512
10,673,000
China
Development
Financial
Holding
Corporation
3,395,177
2,996,000
CTBC
Financial
Holding
Company,
Ltd.
2,029,664
635,000
Delta
Electronics,
Inc.
6,391,634
90,000
Feng
Hsin
Iron
&
Steel
Company,
Ltd.
202,157
2,794,000
Fubon
Financial
Holding
Company,
Ltd.
4,536,618
55,000
Greatek
Electronics,
Inc.
124,479
10,000
Highwealth
Construction
Corporation
15,190
56,000
Hon
Hai
Precision
Industry
Company,
Ltd.
222,718
220,000
Huaku
Development
Company,
Ltd.
675,367
1,540,006
IBF
Financial
Holdings
Company,
Ltd.
691,989
49,000
King's
Town
Bank
Company,
Ltd.
66,313
312,000
Makalot
Industrial
Company,
Ltd.
2,088,417
23,415
Makalot
Industrial
Compnay
,
Ltd.,
Rights
a,d
40,926
7,000
MediaTek
,
Inc.
218,636
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
10
Shares
Common
Stock
(98.1%)
Value
Taiwan
(13.4%)
-
continued
126,000
Namchow
Holdings
Company,
Ltd.
$
200,252
319,000
Nantex
Industry
Company,
Ltd.
652,211
108,000
President
Securities
Corporation
76,921
386,000
SerComm
Corporation
1,010,673
1,311,000
Shinkong
Synthetic
Fibers
Corporation
588,233
855,000
Sigurd
Microelectronics
Corporation
1,483,559
200,000
Sinbon
Electronics
Company,
Ltd.
1,787,040
55,000
Sitronix
Technology
Corporation
314,257
310,000
Sunonwealth
Electric
Machine
Industry
Company,
Ltd.
577,688
228,000
Syncmold
Enterprise
Corporation
658,822
231,000
Systex
Corporation
691,597
2,323,062
Taichung
Commercial
Bank
Company,
Ltd.
882,691
2,153,000
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
45,500,197
465,000
Topco
Scientific
Company,
Ltd.
1,963,389
105,000
Transcend
Information,
Inc.
230,857
255,000
Tung
Ho
Steel
Enterprise
Corporation
285,550
2,829,000
United
Microelectronics
Corporation
5,068,900
317,000
USI
Corporation
227,180
31,000
Wah
Lee
Industrial
Corporation
83,042
332,000
YFY,
Inc.
277,201
Total
83,685,865
Thailand
(1.2%)
110,800
Advanced
Info
Service
Public
Company,
Ltd.
NVDR
635,490
274,000
Bangkok
Bank
Public
Company,
Ltd.
NVDR
1,034,712
373,300
Com7
Public
Company,
Ltd.
NVDR
537,585
584,600
Intouch
Holdings
Public
Company,
Ltd.
NVDR
1,091,099
543,900
Kasikornbank
pcl
NVDR
2,296,413
672,500
Ratchthani
Leasing
Public
Company,
Ltd.
NVDR
89,211
973,500
Thai
Vegetable
Oil
Public
Company,
Ltd.
NVDR
1,062,210
Total
6,746,720
Turkey
(0.4%)
92,806
Anadolu
Efes
Biracilik
ve
Malt
Sanayii
AS
313,989
34,084
Eregli
Demir
ve
Celik
Fabrikalari
TAS
66,601
19,294
Ford
Otomotiv
Sanayi
AS
378,143
332,279
Haci
Omer
Sabanci
Holding
AS
476,302
105,404
Koza
Anadolu
Metal
Madencilik
Isletmeleri
AS
a
221,601
28,881
Migros
Ticaret
AS
a
174,219
56,827
Selcuk
Ecza
Deposu
Ticaret
ve
Sanayi
AS
99,329
163,469
TAV
Havalimanlari
Holding
AS
475,411
13,798
Turkcell
Iletisim
Hizmetleri
AS
ADR
c
74,923
261,987
Turkiye
Garanti
Bankasi
AS
a
331,865
237,792
Turkiye
Is
Bankasi
AS
a
198,388
204,806
Turkiye
Sinai
Kalkinma
Bankasi
AS
a
50,584
27,120
Vestel
Elektronik
Sanayi
ve
Ticaret
AS
a
97,105
Total
2,958,460
Shares
Common
Stock
(98.1%)
Value
United
States
(0.9%)
92,569
Yum
China
Holding,
Inc.
$
5,249,588
Total
5,249,588
Total
Common
Stock
(cost
$492,519,216)
601,803,854
Shares
Preferred
Stock
(
1.5%
)
Brazil
(0.1%)
58,100
Bradespar
SA
661,236
Total
661,236
South
Korea
(1.4%)
3,221
LG
Chem
,
Ltd.
1,342,601
106,203
Samsung
Electronics
Company,
Ltd.
6,926,284
Total
8,268,885
Total
Preferred
Stock
(cost
$6,315,913)
8,930,121
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
557,020
Thrivent
Cash
Management
Trust
557,020
Total
Collateral
Held
for
Securities
Loaned
(cost
$557,020)
557,020
Total
Investments
(cost
$499,392,149)
99.7%
$611,290,995
Other
Assets
and
Liabilities,
Net
0.3%
1,965,475
Total
Net
Assets
100.0%
$613,256,470
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
January
29,
2021,
the
value
of
these
investments
was
$15,511,832
or
2.5%
of
total
net
assets.
c
All
or
a
portion
of
the
security
is
on
loan.
d
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Core
Emerging
Markets
Equity
Fund
as
of
January
29,
2021:
Securities
Lending
Transactions
Common
Stock
$
444,710
Total
lending
$444,710
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$557,020
Net
amounts
due
to
counterparty
$112,310
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
11
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
NVDR
-
Non-Voting
Depository
Receipts
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
January
29,
2021,
in
valuing
Emerging
Markets
Equity
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
77,114,743
15,799,544
61,315,199
Consumer
Discretionary
113,009,859
63,126,579
49,842,354
40,926
Consumer
Staples
29,010,948
1,941,448
27,069,500
Energy
22,031,639
3,190,721
18,840,918
Financials
98,250,619
6,373,801
91,876,818
Health
Care
19,875,017
19,875,017
Industrials
34,223,923
651,367
33,572,556
Information
Technology
140,581,936
19,098,557
121,483,379
Materials
50,769,805
5,419,901
45,349,904
Real
Estate
11,614,503
11,614,503
Utilities
5,320,862
64,439
5,256,423
Preferred
Stock
Financials
661,236
661,236
Information
Technology
6,926,284
6,926,284
Materials
1,342,601
1,342,601
Subtotal
Investments
in
Securities
$610,733,975
$115,666,357
$495,026,692
$40,926
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
557,020
Subtotal
Other
Investments
$557,020
Total
Investments
at
Value
$611,290,995
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
this
table
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Emerging
Markets
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
12
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
The
Fund
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Fund.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.  
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Emerging
Markets
Equity
Fund,
is
as
follows:
Fund
Value
10/31/2020
Gross
Purchases
Gross
Sales
Value
1/29/2021
Shares
Held
at
1/29/2021
%
of
Net
Assets
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$23,017
$39,112
$62,129
$–
–%
Total
Affiliated
Short-Term
Investments
23,017
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
215
10,071
9,729
557
557
<0.1
Total
Collateral
Held
for
Securities
Loaned
215
557
<0.1
Total
Value
$23,232
$557
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2020
-
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$–
$–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
4
Total
Affiliated
Income
from
Securities
Loaned,
Net
$4
Total
Value
$–
$–
$0
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
13
Shares
Common
Stock
(
99.1%
)
Value
Australia
(5.5%)
29,836
ARB
Corporation,
Ltd.
$
796,879
116,216
Aristocrat
Leisure,
Ltd.
2,737,802
33,337
ASX,
Ltd.
1,821,605
89,275
BHP
Group,
Ltd.
2,977,237
6,448
Breville
Group,
Ltd.
141,790
153,983
Carsales.com,
Ltd.
2,295,601
76,337
Commonwealth
Bank
of
Australia
4,846,782
177,410
Computershare,
Ltd.
1,936,387
29,072
Corporate
Travel
Management,
Ltd.
a
367,730
44,914
CSL,
Ltd.
9,311,658
4,264
Domino's
Pizza
Enterprises,
Ltd.
298,183
355,849
GWA
Group,
Ltd.
932,000
367,127
Humm
Group,
Ltd.
316,350
54,159
National
Australia
Bank,
Ltd.
970,807
14,330
Premier
Investments,
Ltd.
244,052
19,643
REA
Group,
Ltd.
2,183,405
35,388
Rio
Tinto,
Ltd.
2,961,944
205,765
Sandfire
Resources,
Ltd.
745,430
117,093
SEEK,
Ltd.
2,494,896
11,314
Sonic
Healthcare,
Ltd.
295,679
144,217
Transurban
Group
a
1,453,148
6,525
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
135,160
35,579
Wesfarmers,
Ltd.
1,476,864
86,659
Woodside
Petroleum,
Ltd.
1,608,528
Total
43,349,917
Austria
(0.2%)
29,586
OMV
AG
1,241,482
Total
1,241,482
Belgium
(0.9%)
54,802
Anheuser-Busch
InBev
NV
3,440,065
26,358
Groupe
Bruxelles
Lambert
SA
2,607,335
7,308
KBC
Groep
NV
a
509,619
Total
6,557,019
Bermuda
(<0.1%)
4,000
CK
Infrastructure
Holdings,
Ltd.
21,237
3,900
Jardine
Matheson
Holdings,
Ltd.
225,420
258,000
Road
King
Infrastructure,
Ltd.
320,023
Total
566,680
Canada
(10.2%)
75,601
BCE,
Inc.
3,206,724
20,348
Canadian
Apartment
Properties
REIT
814,716
63,677
Canadian
National
Railway
Company
6,449,615
24,457
Canadian
Natural
Resources,
Ltd.
552,542
14,990
Canadian
Pacific
Railway,
Ltd.
5,036,405
129,954
CGI,
Inc.
a
10,416,645
17,750
Choice
Properties
REIT
179,478
328,786
CI
Financial
Corporation
4,082,989
92,723
Dollarama
,
Inc.
3,624,808
2,774
FirstService
Corporation
378,934
13,541
Franco-Nevada
Corporation
1,615,848
2,784
Imperial
Oil,
Ltd.
52,970
3,349
Intact
Financial
Corporation
369,274
5,556
Kinaxis
,
Inc.
a
771,257
85,971
Laurentian
Bank
of
Canada
b
2,077,422
10,441
Onex
Corporation
552,934
79,935
Quebecor,
Inc.
1,912,814
Shares
Common
Stock
(99.1%)
Value
Canada
(10.2%)
-
continued
26,886
Restaurant
Brands
International,
Inc.
b
$
1,551,322
99,800
Royal
Bank
of
Canada
8,077,654
7,391
Shopify
Inc.
a
8,119,679
80,141
Sun
Life
Financial,
Inc.
3,703,877
5,493
Suncor
Energy,
Inc.
91,883
34,325
TC
Energy
Corporation
1,471,244
37,151
Thomson
Reuters
Corporation
3,029,314
4,729
TMX
Group,
Ltd.
456,129
113,420
Toronto-Dominion
Bank
6,426,912
18,883
Transcontinental,
Inc.
b
303,014
Total
75,326,403
Cayman
Islands
(0.1%)
319,500
Budweiser
Brewing
Company
APAC,
Ltd.
c
1,068,214
81,600
Sands
China,
Ltd.
324,062
95,000
SITC
International
Holdings
Company,
Ltd.
217,778
Total
1,610,054
Denmark
(3.4%)
1,177
A.P.
Moller
-
Maersk
AS,
Class
B
2,417,756
42,837
Carlsberg
AS
6,258,146
7,973
DSV
AS
1,243,990
172,007
Novo
Nordisk
AS
11,983,423
16,451
Orsted
AS
c
3,124,490
8,946
Royal
Unibrew
AS
883,107
755
Topdanmark
AS
34,861
Total
25,945,773
Finland
(1.0%)
39,593
KONE
Oyj
3,113,792
65,756
Neste
Oil
Oyj
4,631,885
Total
7,745,677
France
(7.0%)
42,660
Air
Liquide
SA
6,976,905
25,421
BNP
Paribas
SA
a
1,219,080
969
Capgemini
SA
140,031
97,071
Electricite
de
France
a
1,207,034
3,067
Gaztransport
Et
Technigaz
SA
279,369
3,642
Hermes
International
3,716,060
18,426
Ipsos
SA
588,971
116,570
Legrand
SA
10,737,064
5,489
LNA
Sante
328,226
18,073
L'Oreal
SA
6,358,077
3,526
LVMH
Moet
Hennessy
Louis
Vuitton
SE
2,131,800
797
Sartorius
Stedim
Biotech
333,683
94,944
Schneider
Electric
SE
13,896,058
152,189
Total
SE
6,414,517
Total
54,326,875
Germany
(6.5%)
61,782
Allianz
SE
13,963,282
79,252
Alstria
Office
REIT
AG
1,365,701
1,721
Bechtle
AG
365,699
3,472
CompuGroup
Medical
SE
and
Company
KGaA
342,536
67,284
Daimler
AG
4,725,624
24,740
Deutsche
Boerse
AG
3,972,079
49,589
Deutsche
Pfandbriefbank
AG
a,c
486,720
21,441
Deutsche
Post
AG
1,059,079
163,257
Deutsche
Telekom
AG
2,903,124
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
14
Shares
Common
Stock
(99.1%)
Value
Germany
(6.5%)
-
continued
15,987
Deutsche
Wohnen
AG
$
791,140
14,254
Encavis
AG
387,982
2,603
Gerresheimer
AG
277,190
34,524
Infineon
Technologies
AG
1,383,154
6,708
LEG
Immobilien
AG
961,601
12,169
Merck
KGaA
2,028,191
7,364
SAP
SE
934,402
1,113
Sartorius
Aktiengesellschaft
553,267
204
Sixt
SE
a
23,704
2,915
Stroeer
SE
262,665
46,291
Symrise
AG
5,760,612
214,898
TAG
Immobilien
AG
6,598,807
1,419
Vonovia
SE
94,747
5,952
Wacker
Chemie
AG
861,419
Total
50,102,725
Hong
Kong
(1.3%)
242,800
AIA
Group,
Ltd.
2,927,380
58,000
CLP
Holdings,
Ltd.
544,305
615,000
Galaxy
Entertainment
Group,
Ltd.
4,640,033
317,000
HKT
Trust
and
HKT,
Ltd.
417,228
265,000
Hong
Kong
and
China
Gas
Company,
Ltd.
380,602
12,300
Hong
Kong
Exchanges
&
Clearing,
Ltd.
786,366
73,000
Hysan
Development
Company,
Ltd.
264,734
Total
9,960,648
Ireland
(<0.1%)
16,363
Glanbia
plc
201,905
Total
201,905
Isle
of
Man
(0.3%)
120,177
Entain
plc
a
2,033,814
Total
2,033,814
Israel
(0.7%)
4,745
Fiverr
International,
Ltd.
a
979,890
40,874
Mizrahi
Tefahot
Bank,
Ltd.
950,603
14,564
Wix.com,
Ltd.
a
3,598,036
Total
5,528,529
Italy
(1.8%)
736,940
Enel
SPA
7,308,954
168,746
Eni
SPA
1,704,463
89,737
Recordati
SPA
4,643,814
Total
13,657,231
Japan
(23.2%)
10,700
ABC-MART,
Inc.
608,615
9,700
Advantest
Corporation
766,563
60,500
Air
Water,
Inc.
978,120
25,100
Arcs
Company,
Ltd.
555,557
37,100
Asahi
Group
Holdings,
Ltd.
1,497,813
76,600
Astellas
Pharmaceutical,
Inc.
1,243,374
12,700
Bandai
Namco
Holdings,
Inc.
1,082,943
8,900
Bridgestone
Corporation
331,592
53,700
Canon,
Inc.
b
1,187,925
34,400
Chiyoda
Company,
Ltd.
305,044
101,700
Chugai
Pharmaceutical
Company,
Ltd.
5,321,873
128,600
Daiichi
Sankyo
Company,
Ltd.
4,139,764
9,600
Daikin
Industries,
Ltd.
2,026,871
Shares
Common
Stock
(99.1%)
Value
Japan
(23.2%)
-
continued
13,900
Daito
Trust
Construction
Company,
Ltd.
$
1,448,574
104,900
Denso
Corporation
5,830,881
12,700
DIP
Corporation
348,539
2,800
FANUC
Corporation
730,994
5,200
Fast
Retailing
Company,
Ltd.
4,469,516
39,300
Fuji
Soft,
Inc.
2,030,223
15,200
Hanwa
Company,
Ltd.
392,656
3,300
Hikari
Tsushin,
Inc.
692,059
13,200
Hitachi,
Ltd.
543,778
22,500
Hoya
Corporation
2,878,963
87,100
Inaba
Denki
Sangyo
Company,
Ltd.
2,035,965
660
Invesco
Office
J-
Reit
,
Inc.
95,864
26,100
ITOCHU
Techno-Solutions
Corporation
920,132
11,100
Izumi
Company,
Ltd.
398,905
180,500
Japan
Post
Bank
Company,
Ltd.
1,560,782
25,400
Japan
Post
Holdings
Company,
Ltd.
201,995
197,200
Japan
Tobacco,
Inc.
3,917,239
44,700
Kamigumi
Company,
Ltd.
788,553
55,400
Kao
Corporation
4,019,647
51,800
KDDI
Corporation
1,522,543
16,800
Kewpie
Corporation
387,391
14,200
Keyence
Corporation
7,623,712
84,800
Kinden
Corporation
1,362,626
11,800
Kobe
Bussan
Company,
Ltd.
326,859
96,000
Kyoei
Steel,
Ltd.
1,236,122
5,900
Lasertec
Corporation
790,293
8,300
Lintec
Corporation
187,999
50,300
M3,
Inc.
4,233,988
171,600
Marubeni
Corporation
1,140,164
16,500
Ministop
Company,
Ltd.
224,038
12,200
MISUMI
Group,
Inc.
397,231
170,800
Mitsubishi
Corporation
4,326,726
133,700
Mitsubishi
Electric
Corporation
2,039,568
52,800
Mitsubishi
Estate
Company,
Ltd.
835,296
518,300
Mitsubishi
UFJ
Financial
Group,
Inc.
2,340,529
33,100
Mitsuboshi
Belting,
Ltd.
521,378
310,000
Mitsui
&
Company,
Ltd.
5,751,920
4,700
MonotaRO
Company,
Ltd.
235,510
13,900
MS
and
AD
Insurance
Group
Holdings,
Inc.
399,922
7,400
Murata
Manufacturing
Company,
Ltd.
710,756
73,700
NEC
Networks
&
System
Integration
Corporation
1,305,006
89,900
NHK
Spring
Company,
Ltd.
614,970
39,100
Nidec
Corporation
5,203,358
2,600
Nihon
M&A
Center,
Inc.
150,563
13,200
Nihon
Unisys,
Ltd.
500,912
4,600
Nintendo
Company,
Ltd.
2,647,923
168,500
Nippon
Telegraph
&
Telephone
Corporation
4,211,457
1,600
Nissan
Chemical
Industries,
Ltd.
91,134
97,900
Nissan
Motor
Company,
Ltd.
a
504,744
1,900
Nitori
Holdings
Company,
Ltd.
377,080
128,900
Nitto
Kogyo
Corporation
2,515,005
5,200
OBIC
Company,
Ltd.
972,940
16,300
Oracle
Corporation
Japan
1,920,434
700
Oriental
Land
Company,
Ltd.
109,558
153,100
ORIX
Corporation
2,456,626
21,800
PLENUS
Company,
Ltd.
416,563
96,900
Recruit
Holdings
Company,
Ltd.
4,214,901
28,700
Rinnai
Corporation
2,997,669
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
15
Shares
Common
Stock
(99.1%)
Value
Japan
(23.2%)
-
continued
800
Rohm
Company,
Ltd.
$
81,170
17,500
Ryoyo
Electro
Corporation
b
489,944
55,700
Sangetsu
Company,
Ltd.
831,799
12,900
Sawai
Pharmaceutical
Company,
Ltd.
589,699
41,600
Sekisui
House,
Ltd.
803,731
53,600
Seven
&
I
Holdings
Company,
Ltd.
2,046,878
22,300
Shin-Etsu
Chemical
Company,
Ltd.
3,881,954
4,500
SHO-BOND
Holdings
Company,
Ltd.
195,809
400
SMC
Corporation
242,065
379,700
SoftBank
Corporation
4,987,915
43,600
SoftBank
Group
Corporation
3,377,823
409,000
Sojitz
Corporation
946,805
26,200
Sony
Corporation
2,507,672
30,800
Sugi
Holdings
Company,
Ltd.
2,024,083
141,500
Sumitomo
Corporation
1,878,348
357,300
Sumitomo
Electric
Industries,
Ltd.
4,769,427
80,900
Sumitomo
Mitsui
Financial
Group,
Inc.
2,513,428
31,000
Sumitomo
Rubber
Industries,
Ltd.
285,293
26,200
Sundrug
Company,
Ltd.
1,039,461
2,900
Sysmex
Corporation
338,321
7,500
Taikisha,
Ltd.
199,992
14,500
Taisei
Corporation
469,758
13,700
Taiyo
Holdings
Company,
Ltd.
815,466
4,300
Takara
Standard
Company,
Ltd.
60,119
71,200
Takeda
Pharmaceutical
Company,
Ltd.
2,504,078
15,200
Terumo
Corporation
590,758
62,900
Toagosei
Company,
Ltd.
666,570
33,300
Tokio
Marine
Holdings,
Inc.
1,635,726
12,300
Tokyo
Electron,
Ltd.
4,677,110
37,700
Toppan
Forms
Company,
Ltd.
388,697
27,100
Toyota
Motor
Corporation
1,900,681
28,800
Tsubakimoto
Chain
Company
740,606
167,000
TV
Asahi
Holdings
Corporation
3,219,920
7,600
Ube
Industries,
Ltd.
144,373
22,600
Yuasa
Trading
Company,
Ltd.
706,625
Total
173,708,837
Jersey
(0.5%)
106,215
Experian
plc
3,712,479
Total
3,712,479
Luxembourg
(0.6%)
329,147
B&M
European
Value
Retail
SA
2,405,886
1,466
Eurofins
Scientific
SE
a
140,716
150,100
Tenaris
SA
ADR
b
2,320,546
Total
4,867,148
Netherlands
(5.5%)
57,066
Aalberts
NV
2,576,158
27,480
ASML
Holding
NV
14,670,285
66,468
Euronext
NV
c
7,158,383
19,316
Ferrari
NV
4,019,443
47,944
ForFarmers
BV
308,366
57,009
Koninklijke
DSM
NV
9,965,919
29,291
Signify
NV
a,c
1,397,649
48,756
Unilever
NV
2,834,135
Total
42,930,338
New
Zealand
(0.3%)
50,563
Contact
Energy,
Ltd.
295,095
Shares
Common
Stock
(99.1%)
Value
New
Zealand
(0.3%)
-
continued
6,904
Fisher
&
Paykel
Healthcare
Corporation,
Ltd.
$
171,107
108,280
Meridian
Energy,
Ltd.
552,700
55,554
Spark
New
Zealand,
Ltd.
190,737
18,681
Xero
,
Ltd.
a
1,842,860
Total
3,052,499
Norway
(1.5%)
362,811
DnB
ASA
a
7,063,377
178,666
Equinor
ASA
3,201,908
51,119
Orkla
ASA
496,911
13,196
Yara
International
ASA
613,618
Total
11,375,814
Singapore
(1.4%)
1,164,344
Ascendas
REIT
2,686,527
363,200
DBS
Group
Holdings,
Ltd.
6,848,954
522,700
Wing
Tai
Holdings,
Ltd.
745,372
Total
10,280,853
Spain
(1.3%)
472,071
Banco
Santander
SA
a
1,377,929
23,690
CIA
De
Distribucion
Integral
445,666
51,201
Enagas
SA
1,127,986
4,203
Endesa
SA
107,417
42,485
Iberdrola
SA
575,212
20,037
Iberdrola
SA,
Rights
a,d
3,837
95,814
Industria
de
Diseno
Textil
SA
2,841,668
637,604
Mediaset
Espana
Comunicacion
SA
a
3,277,571
Total
9,757,286
Sweden
(4.8%)
157,181
AB
Industrivarden
,
Class
C
a
4,998,853
147,422
Assa
Abloy
AB
3,646,008
166,335
Atlas
Copco
AB,
Class
A
9,024,231
50,391
Atlas
Copco
AB,
Class
B
2,359,308
60,323
Castellum
AB
1,447,231
66,360
Dometic
Group
AB
a,c
915,876
17,479
EQT
AB
544,836
6,665
Evolution
Gaming
Group
AB
c
648,591
203,152
Granges
AB
a
2,332,391
203,148
Hexpol
AB
2,220,197
11,522
Holmen
AB
527,470
221,276
Husqvarna
AB
2,737,757
20,844
Kinnevik
AB
1,022,595
11,637
L
E
Lundbergforetagen
AB
a
611,207
58,102
Nobina
AB
a,c
462,436
11,689
Pandox
AB
a
175,519
37,146
Thule
Group
AB
a,c
1,377,445
Total
35,051,951
Switzerland
(10.2%)
34,725
Baloise
Holding
AG
5,815,104
1
Chocoladefabriken
Lindt
and
Spruengli
AG
93,033
725
EMS-CHEMIE
Holding
AG
683,820
416
Givaudan
SA
1,675,969
313
Lindt
&
Spruengli
AG
2,711,880
4,290
Lonza
Group
AG
2,740,022
133,642
Nestle
SA
14,980,812
218,102
Novartis
AG
19,748,086
2,311
Partners
Group
Holding
AG
2,728,810
43,885
PSP
Swiss
Property
AG
5,614,590
12,270
Roche
Holding
AG
4,234,525
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
16
Shares
Common
Stock
(99.1%)
Value
Switzerland
(10.2%)
-
continued
22,531
Sika
AG
$
6,130,953
10,620
Sonova
Holding
AG
a
2,561,961
7,987
Swiss
Life
Holding
AG
3,641,715
5,833
Tecan
Group
AG
2,822,219
Total
76,183,499
United
Kingdom
(10.9%)
894,718
Auto
Trader
Group
plc
a,c
6,897,864
1,326,797
BP
plc
4,930,298
144,021
British
American
Tobacco
plc
5,233,397
29,692
Croda
International
plc
2,551,087
162,358
Diageo
plc
6,518,192
352,848
GlaxoSmithKline
plc
6,552,822
316,120
Halma
plc
10,655,168
1,187,307
HSBC
Holdings
plc
a
6,212,689
16,203
InterContinental
Hotels
Group
plc
a
998,218
17,362
Intermediate
Capital
Group
plc
402,697
89,113
John
Wood
Group
plc
a
355,983
238,999
Moneysupermarket.com
Group
plc
871,743
184,678
PageGroup
plc
a
1,134,424
42,979
Paragon
Banking
Group
plc
266,326
48,924
Redde
Northgate
plc
163,804
360,902
RELX
plc
8,935,352
46,546
Rio
Tinto
plc
3,531,298
256,849
Royal
Dutch
Shell
plc,
Class
A
4,752,791
411,852
Royal
Dutch
Shell
plc,
Class
B
7,177,932
18,510
Spirax-Sarco
Engineering
plc
2,798,524
35,793
St.
James's
Place
plc
572,828
Total
81,513,437
Total
Common
Stock
(cost
$652,321,289)
750,588,873
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
5,967,347
Thrivent
Cash
Management
Trust
5,967,347
Total
Collateral
Held
for
Securities
Loaned
(cost
$5,967,347)
5,967,347
Shares
Preferred
Stock
(
0.3%
)
Germany
(0.3%)
12,030
Volkswagen
AG
2,274,276
Total
2,274,276
Total
Preferred
Stock
(cost
$2,141,394)
2,274,276
Shares
or
Principal
Amount
Short-Term
Investments
(
0.3%
)
Federal
Home
Loan
Bank
Discount
Notes
700,000
0.080%,
 3/17/2021
e,f
699,957
200,000
0.050%,
 3/23/2021
e,f
199,986
900,000
0.078%,
 4/7/2021
e,f
899,887
Shares
or
Principal
Amount
Short-Term
Investments
(0.3%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
64,085
0.200%
$
640,852
Total
Short-Term
Investments
(cost
$2,440,636)
2,440,682
Total
Investments
(cost
$662,870,666)
100.5%
$761,271,178
Other
Assets
and
Liabilities,
Net
(0.5%)
(3,744,961)
Total
Net
Assets
100.0%
$757,526,217
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
January
29,
2021,
the
value
of
these
investments
was
$23,537,668
or
3.1%
of
total
net
assets.
d
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
e
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
f
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Core
International
Equity
Fund
as
of
January
29,
2021:
Securities
Lending
Transactions
Common
Stock
$
5,673,569
Total
lending
$5,673,569
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$5,967,347
Net
amounts
due
to
counterparty
$293,778
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
17
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
January
29,
2021,
in
valuing
International
Equity
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
43,519,900
979,890
42,540,010
Consumer
Discretionary
74,725,878
1,551,322
73,174,556
Consumer
Staples
68,902,070
68,902,070
Energy
40,923,501
2,320,546
38,602,955
Financials
121,535,371
121,535,371
Health
Care
87,688,444
87,688,444
Industrials
125,862,452
125,862,452
Information
Technology
85,104,402
11,717,715
73,386,687
Materials
60,133,855
1,615,848
58,518,007
Real
Estate
26,556,149
26,556,149
Utilities
15,636,851
15,633,014
3,837
Preferred
Stock
Consumer
Discretionary
2,274,276
2,274,276
Short-Term
Investments
1,799,830
1,799,830
Subtotal
Investments
in
Securities
$754,662,979
$18,185,321
$736,473,821
$3,837
Other
Investments  *
Total
Affiliated
Short-Term
Investments
640,852
Collateral
Held
for
Securities
Loaned
5,967,347
Subtotal
Other
Investments
$6,608,199
Total
Investments
at
Value
$761,271,178
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
this
table
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
113,086
113,086
Total
Asset
Derivatives
$113,086
$113,086
$–
$–
The
following
table
presents
International
Equity
Fund's
futures
contracts
held
as
of
January
29,
2021.
Investments
and/or
cash
totaling
$1,799,830
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
ICE
mini
MSCI
EAFE
Index
198
March
2021
$
20,830,364
$
113,086
Total
Futures
Long
Contracts
$
20,830,364
$
113,086
Total
Futures
Contracts
$
20,830,364
$113,086
International
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
18
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
The
Fund
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Fund.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.  
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
International
Equity
Fund,
is
as
follows:
Fund
Value
10/31/2020
Gross
Purchases
Gross
Sales
Value
1/29/2021
Shares
Held
at
1/29/2021
%
of
Net
Assets
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$1,061
$25,653
$26,073
$641
64
0.1%
Total
Affiliated
Short-Term
Investments
1,061
641
0.1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
8,557
37,149
39,739
5,967
5,967
0.8
Total
Collateral
Held
for
Securities
Loaned
8,557
5,967
0.8
Total
Value
$9,618
$6,608
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2020
-
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$–
$–
$–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
1
53
Total
Affiliated
Income
from
Securities
Loaned,
Net
$53
Total
$–
$–
$1
Low
Volatility
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
19
Shares
Common
Stock
(
99.8%
)
Value
Communications
Services
(7.7%)
141,326
Activision
Blizzard,
Inc.
$
12,860,666
4,354
Alphabet,
Inc.,
Class
A
a
7,956,326
412,566
AT&T,
Inc.
11,811,765
24,933
Cogent
Communications
Holdings
1,419,934
140,864
Comcast
Corporation
6,982,629
55,594
Electronic
Arts,
Inc.
7,961,061
31,535
Match
Group,
Inc.
a
4,410,485
89,736
Take-Two
Interactive
Software,
Inc.
a
17,987,581
123,054
T-Mobile
US,
Inc.
a
15,514,648
443,644
Verizon
Communications,
Inc.
24,289,509
30,861
Walt
Disney
Company
a
5,189,894
Total
116,384,498
Consumer
Discretionary
(6.8%)
2,207
Amazon.com,
Inc.
a
7,076,083
8,070
AutoZone,
Inc.
a
9,025,246
25,315
Dollar
General
Corporation
4,926,552
18,433
Domino's
Pizza,
Inc.
6,834,219
90,221
Home
Depot,
Inc.
24,433,651
144,470
McDonald's
Corporation
30,026,645
11,342
NIKE,
Inc.
1,515,178
1,020
NVR,
Inc.
a
4,535,410
16,926
O'Reilly
Automotive,
Inc.
a
7,201,505
45,241
TJX
Companies,
Inc.
2,897,234
35,844
Yum!
Brands,
Inc.
3,637,807
Total
102,109,530
Consumer
Staples
(12.3%)
115,039
Altria
Group,
Inc.
4,725,802
21,070
Church
&
Dwight
Company,
Inc.
1,778,940
41,919
Clorox
Company
8,780,354
49,766
Coca-Cola
Company
2,396,233
209,426
Colgate-Palmolive
Company
16,335,228
57,031
Costco
Wholesale
Corporation
20,099,435
121,524
Hershey
Company
17,674,451
93,341
Hormel
Foods
Corporation
b
4,373,959
53,492
Kellogg
Company
3,152,818
30,415
Kimberly-Clark
Corporation
4,017,821
5,327
McCormick
&
Company,
Inc.
476,980
412,322
Mondelez
International,
Inc.
22,859,132
70,427
Monster
Beverage
Corporation
a
6,115,176
213,653
PepsiCo,
Inc.
29,178,590
111,881
Philip
Morris
International,
Inc.
8,911,322
174,185
Procter
&
Gamble
Company
22,332,259
87,685
Wal-Mart
Stores,
Inc.
12,318,866
Total
185,527,366
Financials
(7.5%)
5,482
Alleghany
Corporation
3,107,472
74,495
Aon
plc
15,129,934
162,696
Arthur
J.
Gallagher
&
Company
18,776,745
39,992
Berkshire
Hathaway,
Inc.
a
9,112,977
21,256
Cboe
Global
Markets,
Inc.
1,949,813
40,194
CME
Group,
Inc.
7,304,857
8,261
Everest
Re
Group,
Ltd.
1,743,732
7,893
FactSet
Research
Systems,
Inc.
2,386,370
77,762
Hanover
Insurance
Group,
Inc.
8,745,892
26,474
Intercontinental
Exchange,
Inc.
2,921,406
9,170
Markel
Corporation
a
8,890,132
196,018
Marsh
&
McLennan
Companies,
Inc.
21,544,338
3,718
Moody's
Corporation
989,955
46,225
Progressive
Corporation
4,030,358
Shares
Common
Stock
(99.8%)
Value
Financials
(7.5%)
-
continued
41,889
T.
Rowe
Price
Group,
Inc.
$
6,554,791
Total
113,188,772
Health
Care
(20.9%)
159,172
Abbott
Laboratories
19,672,067
14,364
AbbVie,
Inc.
1,472,023
99,368
Agilent
Technologies,
Inc.
11,941,053
36,836
Amgen,
Inc.
8,893,315
68,379
Baxter
International,
Inc.
5,253,559
35,610
Becton,
Dickinson
and
Company
9,322,342
10,329
Bio-
Techne
Corporation
3,355,995
4,823
Chemed
Corporation
2,497,832
7,245
Cooper
Companies,
Inc.
2,637,470
95,602
Danaher
Corporation
22,737,980
137,649
Eli
Lilly
and
Company
28,626,863
282,863
Gilead
Sciences,
Inc.
18,555,813
218,179
Johnson
&
Johnson
35,591,540
198,921
Medtronic
plc
22,145,875
312,179
Merck
&
Company,
Inc.
24,059,636
167
Mettler
-Toledo
International,
Inc.
a
195,073
140,525
Pfizer,
Inc.
5,044,847
50,555
Regeneron
Pharmaceuticals,
Inc.
a
25,471,631
5,852
Seagen
,
Inc.
a
961,308
56,122
Stryker
Corporation
12,403,523
17,500
Thermo
Fisher
Scientific,
Inc.
8,919,750
60,694
UnitedHealth
Group,
Inc.
20,246,304
19,846
Vaxart
,
Inc.
a,b
237,755
43,975
Vertex
Pharmaceuticals,
Inc.
a
10,073,793
98,969
Zoetis,
Inc.
15,265,968
Total
315,583,315
Industrials
(9.3%)
58,728
A.O.
Smith
Corporation
3,188,930
60,760
AMETEK,
Inc.
6,881,678
14,006
Expeditors
International
of
Washington,
Inc.
1,253,817
42,243
IDEX
Corporation
7,865,224
26,408
Illinois
Tool
Works,
Inc.
5,128,698
10,916
L3Harris
Technologies,
Inc.
1,872,203
73,450
Landstar
System,
Inc.
10,238,930
21,556
Lennox
International,
Inc.
5,938,462
19,810
Linde
Public
Limited
Company
4,861,374
53,212
Lockheed
Martin
Corporation
17,124,686
18,445
Northrop
Grumman
Corporation
5,286,522
149,422
Republic
Services,
Inc.
13,525,679
93,117
Verisk
Analytics,
Inc.
17,086,970
166,979
Waste
Connections,
Inc.
16,449,101
190,932
Waste
Management,
Inc.
21,254,550
7,842
Watsco
,
Inc.
1,870,239
Total
139,827,063
Information
Technology
(23.3%)
142,037
Accenture
plc
34,361,591
49,033
Adobe,
Inc.
a
22,494,869
186,071
Amphenol
Corporation
23,236,546
34,714
Apple,
Inc.
4,580,859
3,108
Black
Knight,
Inc.
a
253,893
2,994
Broadcom,
Ltd.
1,348,797
62,579
Broadridge
Financial
Solutions,
Inc.
8,843,039
28,924
Cisco
Systems,
Inc.
1,289,432
95,444
Citrix
Systems,
Inc.
12,723,640
8,215
Dolby
Laboratories,
Inc.
723,166
33,528
Fidelity
National
Information
Services,
Inc.
4,139,367
Low
Volatility
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
20
Shares
Common
Stock
(99.8%)
Value
Information
Technology
(23.3%)
-
continued
13,146
Fiserv,
Inc.
a
$
1,349,963
36,927
Intuit,
Inc.
13,339,140
119,098
Jack
Henry
&
Associates,
Inc.
17,244,199
94,421
Keysight
Technologies,
Inc.
a
13,369,069
67,419
MasterCard,
Inc.
21,323,956
162,481
Microsoft
Corporation
37,689,093
101,279
Motorola
Solutions,
Inc.
16,969,296
251,822
Oracle
Corporation
15,217,603
218,496
Paychex,
Inc.
19,079,071
43,362
Synopsys,
Inc.
a
11,076,823
99,502
Texas
Instruments,
Inc.
16,486,486
49,676
Tyler
Technologies,
Inc.
a
21,002,516
20,783
VeriSign,
Inc.
a
4,033,357
119,110
Visa,
Inc.
23,018,008
84,563
Western
Union
Company
1,883,218
11,568
Zoom
Video
Communications,
Inc.
a
4,304,106
Total
351,381,103
Materials
(2.4%)
7,369
Air
Products
and
Chemicals,
Inc.
1,965,754
63,695
Ecolab,
Inc.
13,026,265
199,009
Newmont
Mining
Corporation
11,860,936
13,049
Sherwin-Williams
Company
9,027,298
Total
35,880,253
Real
Estate
(3.9%)
46,603
Agree
Realty
Corporation
2,945,310
15,186
American
Tower
Corporation
3,452,689
50,388
Camden
Property
Trust
5,147,134
11,936
Crown
Castle
International
Corporation
1,900,927
5,470
EastGroup
Properties,
Inc.
739,216
2,018
Essex
Property
Trust,
Inc.
483,533
27,071
Extra
Space
Storage,
Inc.
3,080,409
157,239
First
Industrial
Realty
Trust,
Inc.
6,390,193
23,405
Industrial
Logistics
Properties
Trust
496,420
88,243
Invitation
Homes,
Inc.
2,601,404
112,101
Public
Storage,
Inc.
25,516,430
39,218
Rexford
Industrial
Realty,
Inc.
1,919,329
5,311
Sun
Communities,
Inc.
760,163
83,363
UDR,
Inc.
3,205,307
Total
58,638,464
Utilities
(5.7%)
111,286
American
Electric
Power
Company,
Inc.
9,004,150
13,212
American
States
Water
Company
1,020,759
47,247
American
Water
Works
Company,
Inc.
7,513,218
42,358
Atmos
Energy
Corporation
3,769,862
274,222
Consolidated
Edison,
Inc.
19,409,433
21,925
Dominion
Energy,
Inc.
1,598,113
57,215
DTE
Energy
Company
6,792,565
28,708
Duke
Energy
Corporation
2,698,552
65,049
IDACORP,
Inc.
5,743,827
165,161
NextEra
Energy,
Inc.
13,356,570
47,012
Southern
Company
2,769,947
50,176
WEC
Energy
Group,
Inc.
4,460,647
115,799
Xcel
Energy,
Inc.
7,409,978
Total
85,547,621
Total
Common
Stock
(cost
$1,329,286,523)
1,504,067,985
Shares
Collateral
Held
for
Securities
Loaned
(
0.3%
)
Value
4,515,300
Thrivent
Cash
Management
Trust
$
4,515,300
Total
Collateral
Held
for
Securities
Loaned
(cost
$4,515,300)
4,515,300
Shares
Short-Term
Investments
(
0.1%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
141,349
0.200%
1,413,485
Total
Short-Term
Investments
(cost
$1,411,409)
1,413,485
Total
Investments
(cost
$1,335,213,232)
100.2%
$1,509,996,770
Other
Assets
and
Liabilities,
Net
(0.2%)
(3,107,157)
Total
Net
Assets
100.0%
$1,506,889,613
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Core
Low
Volatility
Equity
Fund
as
of
January
29,
2021:
Securities
Lending
Transactions
Common
Stock
$
4,377,020
Total
lending
$4,377,020
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$4,515,300
Net
amounts
due
to
counterparty
$138,280
Low
Volatility
Equity
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
21
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
January
29,
2021,
in
valuing
Low
Volatility
Equity
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
116,384,498
116,384,498
Consumer
Discretionary
102,109,530
102,109,530
Consumer
Staples
185,527,366
185,527,366
Financials
113,188,772
113,188,772
Health
Care
315,583,315
315,583,315
Industrials
139,827,063
139,827,063
Information
Technology
351,381,103
351,381,103
Materials
35,880,253
35,880,253
Real
Estate
58,638,464
58,638,464
Utilities
85,547,621
85,547,621
Subtotal
Investments
in
Securities
$1,504,067,985
$1,504,067,985
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
1,413,485
Collateral
Held
for
Securities
Loaned
4,515,300
Subtotal
Other
Investments
$5,928,785
Total
Investments
at
Value
$1,509,996,770
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
this
table
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
The
Fund
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Fund.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.  
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Low
Volatility
Equity
Fund,
is
as
follows:
Fund
Value
10/31/2020
Gross
Purchases
Gross
Sales
Value
1/29/2021
Shares
Held
at
1/29/2021
%
of
Net
Assets
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$1,599
$8,497
$8,683
$1,413
141
0.1%
Total
Affiliated
Short-Term
Investments
1,599
1,413
0.1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
4,196
10,909
10,590
4,515
4,515
0.3
Total
Collateral
Held
for
Securities
Loaned
4,196
4,515
0.3
Total
Value
$5,795
$5,928
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2020
-
1/29/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.200%
$–
$–
$–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
0
5
Total
Affiliated
Income
from
Securities
Loaned,
Net
$5
Total
$–
$–
$0
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
22
Principal
Amount
Asset-Backed
Securities
(
1.1%
)
a
Value
AmeriCredit
Automobile
Receivables
Trust
$
12,725,075
0.219% ,
11/18/2021,
Ser.
2020-3
$
12,724,868
BCC
Funding
XVII,
LLC
10,969,170
0.310% ,
10/20/2021,
Ser.
2020-1
b
10,970,545
CarMax
Auto
Owner
Trust
16,006
0.277% ,
7/15/2021,
Ser.
2020-3
16,007
CCG
Receivables
Trust
3,433,462
0.255% ,
8/16/2021,
Ser.
2020-1
b
3,433,461
Dell
Equipment
Finance
Trust
13,841,742
0.315% ,
9/22/2021,
Ser.
2020-2
b
13,843,717
HPEFS
Equipment
Trust
2,785,594
0.428% ,
7/20/2021,
Ser.
2020-2A
b
2,785,889
Kubota
Credit
Owner
Trust
1,634,693
0.269% ,
8/16/2021,
Ser.
2020-2A
b
1,634,744
Santander
Drive
Auto
Receivables
Trust
11,163,441
0.224% ,
12/15/2021,
Ser.
2020-4
11,163,446
SCF
Equipment
Leasing,
LLC
792,102
0.386% ,
8/20/2021,
Ser.
2020-1A
b
792,138
Total
57,364,815
Principal
Amount
Basic
Materials
(
1.2%
)
a
Value
BASF
SE
15,000,000
0.150% ,
2/25/2021
b
14,998,526
25,000,000
0.250% ,
3/22/2021
b
24,994,331
25,000,000
0.250% ,
3/25/2021
b
24,993,965
Total
64,986,822
Principal
Amount
Capital
Goods
(
3.6%
)
a
Value
Amcor
Finance
USA,
Inc.
10,000,000
0.200% ,
2/4/2021
b,c
9,999,893
Caterpillar
Financial
Services
Corporation
25,000,000
0.110% ,
2/22/2021
c
24,995,583
25,000,000
0.110% ,
2/25/2021
c
24,994,713
15,000,000
0.100% ,
2/26/2021
c
14,996,640
9,575,000
0.447%
(LIBOR
3M
+
0.230%),
3/15/2021
d
9,578,035
General
Dynamics
Corporation
12,460,000
0.594%
(LIBOR
3M
+
0.380%),
5/11/2021
d
12,471,962
John
Deere
Canada,
ULC
10,000,000
0.120% ,
3/22/2021
b,c
9,998,454
John
Deere
Capital
Corporation
25,000,000
0.120% ,
3/16/2021
b
24,997,604
18,000,000
0.100% ,
3/25/2021
b
17,997,855
11,350,000
0.625%
(LIBOR
3M
+
0.400%),
6/7/2021
d
11,365,314
14,185,000
0.490%
(LIBOR
3M
+
0.260%),
9/10/2021
d
14,205,521
Principal
Amount
Capital
Goods
(3.6%)
a
Value
Raytheon
Technologies
Corporation
$
10,000,000
0.120% ,
2/3/2021
$
9,999,792
Total
185,601,366
Principal
Amount
Consumer
Cyclical
(
2.8%
)
a
Value
American
Honda
Finance
Corporation
7,775,000
0.424%
(LIBOR
3M
+
0.210%),
2/12/2021
d
7,775,630
5,820,000
0.571%
(LIBOR
3M
+
0.350%),
6/11/2021
d
5,827,431
BMW
US
Capital,
LLC
10,560,000
0.634%
(LIBOR
3M
+
0.410%),
4/12/2021
b,d
10,568,043
15,706,000
3.100% ,
4/12/2021
b
15,793,816
Charta,
LLC
5,855,000
0.070% ,
2/1/2021
b,c
5,854,936
Hyundai
Capital
America
6,200,000
0.300% ,
2/1/2021
b,c
6,199,922
20,000,000
0.250% ,
2/23/2021
b,c
19,996,417
Toyota
Finance
Australia,
Ltd.
25,000,000
0.260% ,
2/5/2021
c
24,999,417
Toyota
Motor
Credit
Corporation
11,708,000
0.420%
(LIBOR
3M
+
0.200%),
3/12/2021
d
11,711,208
5,680,000
0.346%
(LIBOR
3M
+
0.125%),
8/13/2021
d
5,681,984
Walmart,
Inc.
28,014,000
0.475%
(LIBOR
3M
+
0.230%),
6/23/2021
d
28,043,713
Total
142,452,517
Principal
Amount
Consumer
Non-Cyclical
(
4.2%
)
a
Value
Archer-Daniels-Midland
Company
11,560,000
0.080% ,
2/4/2021
b
11,559,827
25,000,000
0.100% ,
2/11/2021
b
24,999,187
25,000,000
0.100% ,
2/17/2021
b
24,998,773
Bristol-Myers
Squibb
Company
5,903,000
2.875% ,
2/19/2021
5,910,203
Cargill
Global
Funding
plc
25,000,000
0.070% ,
2/2/2021
b
24,999,750
Cargill,
Inc.
6,105,000
0.070% ,
2/4/2021
b,c
6,104,908
General
Mills,
Inc.
7,595,000
0.763%
(LIBOR
3M
+
0.540%),
4/16/2021
d
7,602,896
GlaxoSmithKline
Capital
plc
13,410,000
0.571%
(LIBOR
3M
+
0.350%),
5/14/2021
d
13,423,230
Nestle
Finance
International,
Ltd.
25,000,000
0.090% ,
2/16/2021
b,c
24,999,163
PepsiCo,
Inc.
10,410,000
0.767%
(LIBOR
3M
+
0.530%),
10/6/2021
d
10,445,966
UnitedHealth
Group,
Inc.
25,000,000
0.170% ,
2/22/2021
b
24,997,467
25,000,000
0.170% ,
2/23/2021
b
24,997,344
15,000,000
0.170% ,
2/26/2021
b
14,998,168
Total
220,036,882
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
23
Principal
Amount
Energy
(
3.3%
)
a
Value
BP
Capital
Markets
plc
$
25,000,000
0.210% ,
2/18/2021
b,c
$
24,998,028
25,000,000
0.130% ,
3/30/2021
b,c
24,992,083
25,000,000
0.130% ,
3/31/2021
b,c
24,991,867
Exxon
Mobil
Corporation
25,000,000
0.080% ,
2/2/2021
24,999,805
Sempra
Global
5,300,000
0.110% ,
2/1/2021
c
5,299,934
Suncor
Energy,
Inc.
5,975,000
0.320% ,
2/5/2021
b,c
5,974,826
23,650,000
0.320% ,
2/12/2021
b,c
23,648,464
10,000,000
0.250% ,
3/5/2021
b,c
9,997,987
4,748,000
0.270% ,
3/9/2021
b,c
4,746,910
20,000,000
0.260% ,
3/12/2021
b,c
19,994,960
Total
169,644,864
Principal
Amount
Financials
(
40.1%
)
a
Value
AIG
Global
Funding
4,000,000
0.711%
(LIBOR
3M
+
0.460%),
6/25/2021
b,d
4,006,839
Alexandria
Real
15,000,000
0.160% ,
2/3/2021
b,c
14,999,313
AllianceBernstein,
LP
15,000,000
0.130% ,
3/1/2021
b
14,998,566
15,000,000
0.150% ,
3/5/2021
b
14,998,352
25,000,000
0.170% ,
3/15/2021
b
24,996,250
Allstate
Corporation
3,000,000
0.681%
(LIBOR
3M
+
0.430%),
3/29/2021
d
3,002,248
American
Express
Company
4,368,000
3.000% ,
2/22/2021
4,370,701
ANZ
New
Zealand
International,
Ltd.
7,000,000
1.229%
(LIBOR
3M
+
1.010%),
7/28/2021
b,d
7,033,519
Australia
&
New
Zealand
Banking
Group,
Ltd.
4,800,000
1.083%
(LIBOR
3M
+
0.870%),
11/23/2021
b,d
4,830,883
Bank
of
America
Corporation
10,586,000
1.643%
(LIBOR
3M
+
1.420%),
4/19/2021
d
10,618,015
Bank
of
Montreal
25,000,000
0.270%
(LIBOR
3M
+
0.050%),
2/4/2021
d
25,000,133
10,000,000
0.330%
(SOFRRATE
+
0.290%),
3/5/2021
d
10,002,303
5,000,000
1.023%
(LIBOR
3M
+
0.790%),
8/27/2021
d
5,022,244
Bank
of
New
York
Mellon
Corporation
14,400,000
2.500% ,
4/15/2021
14,440,017
Bank
of
Nova
Scotia
4,835,000
0.664%
(LIBOR
3M
+
0.440%),
4/20/2021
d
4,839,002
Barclays
Bank
plc
12,600,000
0.140% ,
2/26/2021
b,c
12,598,432
Barton
Capital
SA
25,000,000
0.130% ,
2/18/2021
b,c
24,997,819
7,800,000
0.130% ,
2/22/2021
b,c
7,799,173
BNP
Paribas
SA
7,205,000
0.603%
(LIBOR
3M
+
0.390%),
8/7/2021
b,d
7,219,217
Principal
Amount
Financials
(40.1%)
a
Value
Canadian
Imperial
Bank
of
Commerce
$
8,500,000
0.258%
(LIBOR
3M
+
0.020%),
7/1/2021
d
$
8,500,349
15,000,000
0.363%
(LIBOR
3M
+
0.140%),
7/19/2021
d
15,008,984
34,400,000
0.392%
(LIBOR
3M
+
0.160%),
8/6/2021
d
34,426,638
6,180,000
0.320%
(LIBOR
3M
+
0.100%),
12/13/2021
d
6,183,720
10,000,000
0.336%
(LIBOR
3M
+
0.110%),
1/18/2022
d
10,000,000
Chariot
Funding,
LLC
35,762,000
0.168% ,
2/1/2021
b
35,761,574
25,000,000
0.250% ,
2/3/2021
b
24,999,476
15,000,000
0.220% ,
2/16/2021
b
14,998,845
15,000,000
0.230% ,
3/8/2021
b
14,997,387
Ciesco,
LLC
5,500,000
0.220% ,
4/7/2021
b,c
5,498,182
Citibank
NA
13,910,000
0.788%
(LIBOR
3M
+
0.570%),
7/23/2021
d
13,938,919
4,750,000
0.761%
(LIBOR
3M
+
0.530%),
2/19/2022
d
4,752,014
6,200,000
3.165%
(LIBOR
3M
+
0.530%),
2/19/2022
d
6,208,609
Citigroup
Global
Markets,
Inc.
25,000,000
0.220% ,
4/5/2021
b
24,993,950
Commonwealth
Bank
of
Australia
25,000,000
0.215% ,
2/22/2021
b
24,998,233
5,250,000
1.055%
(LIBOR
3M
+
0.830%),
9/6/2021
b,d
5,275,095
Cooperatieve
Rabobank
13,379,000
1.055%
(LIBOR
3M
+
0.830%),
1/10/2022
d
13,481,885
Credit
Suisse
Group
Funding
Guernsey,
Ltd.
12,300,000
3.450% ,
4/16/2021
12,380,543
Dealers
Capital
Access
Trust,
LLC
5,000,000
0.160% ,
2/2/2021
4,999,933
15,000,000
0.120% ,
2/18/2021
14,998,942
4,100,000
0.210% ,
3/15/2021
4,099,231
2,000,000
0.230% ,
3/17/2021
1,999,606
Erste
Abwicklungsanstalt
25,000,000
0.180% ,
2/1/2021
b
24,999,812
25,000,000
0.210% ,
2/2/2021
b
24,999,750
41,035,000
0.200% ,
2/10/2021
b
41,033,769
25,000,000
0.150% ,
3/15/2021
b
24,996,250
25,000,000
0.170% ,
4/12/2021
b
24,993,207
FMS
Wertmanagement
1,800,000
0.180% ,
2/2/2021
b
1,799,984
25,000,000
0.180% ,
2/9/2021
b
24,999,427
25,000,000
0.180% ,
2/12/2021
b
24,999,310
24,000,000
0.210% ,
3/15/2021
b
23,997,000
25,000,000
0.165% ,
4/14/2021
b
24,992,448
Goldman
Sachs
Bank
USA
25,000,000
0.367%
(SOFRRATE
+
0.280%),
2/5/2021
d
25,001,166
Goldman
Sachs
Group,
Inc.
23,769,000
1.977%
(LIBOR
3M
+
1.770%),
2/25/2021
d
23,796,050
13,210,000
2.875% ,
2/25/2021
13,215,812
14,600,000
1.578%
(LIBOR
3M
+
1.360%),
4/23/2021
d
14,626,160
6,300,000
2.625% ,
4/25/2021
6,322,176
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
24
Principal
Amount
Financials
(40.1%)
a
Value
Goldman
Sachs
International
$
17,000,000
0.190% ,
4/19/2021
b
$
16,994,069
ING
Bank
NV
2,000,000
1.101%
(LIBOR
3M
+
0.880%),
8/15/2021
b,d
2,008,852
Lime
Funding,
LLC
25,000,000
0.170% ,
2/11/2021
b
24,998,691
10,000,000
0.150% ,
3/4/2021
b
9,998,413
Lloyds
Banking
Group
plc
10,000,000
0.703%
(LIBOR
3M
+
0.490%),
5/7/2021
d
10,011,714
25,000,000
0.314%
(LIBOR
3M
+
0.090%),
5/20/2021
d
25,004,455
15,000,000
0.317%
(LIBOR
3M
+
0.100%),
9/15/2021
d
15,004,598
Macquarie
Bank,
Ltd.
5,775,000
0.150% ,
2/8/2021
b
5,774,844
10,000,000
0.280%
(LIBOR
1M
+
0.150%),
2/24/2021
b,d
10,001,163
MetLife
Short
Term
Funding,
LLC
10,000,000
0.120% ,
3/8/2021
b,c
9,998,733
7,873,000
0.200% ,
3/12/2021
b,c
7,871,898
Metropolitan
Life
Global
Funding
I
25,000,000
0.530%
(SOFRRATE
+
0.500%),
5/28/2021
b,d
25,032,317
Mid-America
Apartments,
LP
15,000,000
0.120% ,
2/1/2021
b
14,999,812
10,000,000
0.150% ,
2/3/2021
b
9,999,792
25,000,000
0.150% ,
2/4/2021
b
24,999,375
Mitsubishi
UFJ
Trust
&
Banking
Corporation
10,000,000
0.240% ,
2/5/2021
10,000,253
Morgan
Stanley
21,845,000
2.500% ,
4/21/2021
21,954,832
National
Australia
Bank,
Ltd.
10,000,000
0.231%
(LIBOR
1M
+
0.110%),
8/31/2021
b,d
10,001,855
5,500,000
0.930%
(LIBOR
3M
+
0.710%),
11/4/2021
b,d
5,529,536
15,000,000
0.292%
(LIBOR
3M
+
0.060%),
11/5/2021
b,d
15,004,545
Nationwide
Building
Society
4,880,000
0.190% ,
2/8/2021
b
4,879,810
15,000,000
0.170% ,
3/4/2021
b
14,998,002
25,000,000
0.170% ,
3/5/2021
b
24,996,524
Nederlandse
Waterschapsbank
NV
25,000,000
0.130% ,
2/4/2021
b
24,999,588
19,025,000
0.140% ,
2/11/2021
b
19,024,265
25,000,000
0.140% ,
3/1/2021
b
24,997,395
29,400,000
0.150% ,
3/17/2021
b
29,394,626
12,500,000
0.150% ,
3/22/2021
b
12,497,472
New
York
Life
Global
Funding
7,000,000
2.000% ,
4/13/2021
b
7,025,520
16,796,000
0.552%
(LIBOR
3M
+
0.320%),
8/6/2021
b,d
16,822,531
Nieuw
Amsterdam
Receivables
Corporation
25,000,000
0.130% ,
3/23/2021
b,c
24,993,743
Nordea
Bank
Abp
15,000,000
0.274%
(LIBOR
3M
+
0.050%),
10/20/2021
d
15,005,349
Old
Line
Funding,
LLC
25,000,000
0.189%
(LIBOR
3M
+
(0.040)%),
3/17/2021
b,c,d
24,999,869
Principal
Amount
Financials
(40.1%)
a
Value
$
25,000,000
0.228%
(LIBOR
3M
+
0.010%),
7/26/2021
b,c,d
$
25,000,000
Pacific
Life
Short
Term
Funding,
LLC
9,900,000
0.140% ,
3/12/2021
b
9,898,291
Prudential
Funding,
LLC
25,000,000
0.100% ,
2/26/2021
c
24,998,308
Realty
Income
Corporation
25,000,000
0.240% ,
2/22/2021
24,996,217
Royal
Bank
of
Canada
10,000,000
0.256%
(LIBOR
3M
+
0.040%),
2/3/2021
b,d
10,000,024
10,000,000
0.190%
(SOFRRATE
+
0.150%),
2/26/2021
b,d
10,000,793
10,000,000
0.290%
(SOFRRATE
+
0.250%),
3/3/2021
b,d
10,001,814
18,237,000
0.602%
(LIBOR
3M
+
0.390%),
4/30/2021
d
18,253,320
15,000,000
0.352%
(LIBOR
3M
+
0.140%),
7/30/2021
d
15,007,368
15,000,000
0.284%
(LIBOR
3M
+
0.050%),
10/8/2021
d
15,006,119
15,000,000
0.279%
(LIBOR
3M
+
0.060%),
10/28/2021
d
15,006,618
10,000,000
0.320%
(LIBOR
3M
+
0.090%),
12/7/2021
d
10,006,747
15,000,000
0.311%
(LIBOR
3M
+
0.090%),
12/10/2021
d
15,010,187
Skandinaviska
Enskilda
Banken
AB
20,514,000
0.652%
(LIBOR
3M
+
0.430%),
5/17/2021
b,d
20,537,655
8,000,000
0.301%
(LIBOR
3M
+
0.070%),
12/3/2021
d
8,001,990
Societe
Generale
North
America,
Inc.
5,000,000
0.250% ,
3/2/2021
b
4,999,418
25,000,000
0.150% ,
3/31/2021
b
24,994,027
Sumitomo
Mitsui
Financial
Group,
Inc.
25,000,000
1.910%
(LIBOR
3M
+
1.680%),
3/9/2021
d
25,041,438
Suncorp-Metway,
Ltd.
10,000,000
0.160% ,
3/22/2021
b
9,995,854
Svenska
Handelsbanken
AB
22,300,000
0.675%
(LIBOR
3M
+
0.470%),
5/24/2021
d
22,332,123
15,000,000
0.273%
(LIBOR
3M
+
0.050%),
10/19/2021
b,d
15,006,394
Svenska
Handelsbanken
NY
15,000,000
0.329%
(LIBOR
3M
+
0.110%),
6/16/2021
d
15,008,245
10,000,000
0.292%
(LIBOR
3M
+
0.060%),
11/5/2021
d
10,004,545
Thunder
Bay
Funding,
LLC
25,000,000
0.250% ,
3/22/2021
b,c
24,995,631
Toronto-Dominion
Bank
10,000,000
0.264%
(LIBOR
3M
+
0.050%),
2/1/2021
b,d
10,000,000
40,000,000
2.250% ,
3/15/2021
b
40,099,696
20,958,000
0.499%
(LIBOR
3M
+
0.270%),
3/17/2021
d
20,967,247
5,184,000
1.237%
(LIBOR
3M
+
1.000%),
4/7/2021
d
5,193,554
10,000,000
0.340%
(LIBOR
3M
+
0.110%),
6/10/2021
d
10,004,197
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
25
Principal
Amount
Financials
(40.1%)
a
Value
$
10,000,000
0.368%
(LIBOR
3M
+
0.130%),
7/1/2021
b,d
$
10,005,341
12,830,000
0.363%
(LIBOR
3M
+
0.140%),
7/19/2021
d
12,838,276
11,000,000
0.514%
(LIBOR
3M
+
0.300%),
7/30/2021
d
11,015,126
10,000,000
0.304%
(LIBOR
3M
+
0.070%),
10/8/2021
d
10,001,721
Toronto-Dominion
Holdings
USA,
Inc.
4,500,000
0.200% ,
2/23/2021
b,c
4,499,669
10,000,000
0.240% ,
3/12/2021
b
9,998,670
Travelers
Co,
Inc.
15,630,000
0.090% ,
2/1/2021
b
15,629,878
U.S.
Bank
NA
30,288,000
0.535%
(LIBOR
3M
+
0.320%),
4/26/2021
d
30,302,625
12,592,000
0.404%
(LIBOR
3M
+
0.180%),
1/21/2022
d
12,608,470
UBS
AG
London
15,000,000
0.267%
(LIBOR
3M
+
0.050%),
9/15/2021
b,d
14,998,160
10,000,000
0.267%
(LIBOR
3M
+
0.050%),
9/21/2021
b,d
9,998,729
UBS
Group
AG
5,000,000
2.014%
(LIBOR
3M
+
1.780%),
4/14/2021
b,d
5,018,013
10,000,000
0.304%
(LIBOR
3M
+
0.080%),
10/12/2021
b,d
9,998,618
UDR,
Inc.
10,000,000
0.170% ,
2/10/2021
b,c
9,999,460
10,000,000
0.210% ,
2/26/2021
b,c
9,998,460
Wells
Fargo
&
Company
5,188,000
2.500% ,
3/4/2021
5,198,115
5,500,000
4.600% ,
4/1/2021
5,539,765
Wells
Fargo
Bank
NA
10,000,000
0.331%
(LIBOR
3M
+
0.110%),
2/16/2021
d
10,000,605
8,502,000
0.732%
(LIBOR
3M
+
0.510%),
10/22/2021
d
8,527,886
Westpac
Banking
Corporation
8,000,000
0.200% ,
2/25/2021
b
7,999,244
9,300,000
0.310%
(SOFRRATE
+
0.270%),
3/5/2021
d
9,301,908
25,000,000
0.234%
(LIBOR
1M
+
0.090%),
5/5/2021
b,c,d
25,004,484
Total
2,081,722,946
Principal
Amount
Foreign
(
3.4%
)
a
Value
Caisse
d'Amortissement
de
la
Dette
Sociale
20,000,000
0.200% ,
2/19/2021
b
19,998,857
25,000,000
0.210% ,
2/22/2021
b
24,998,300
25,000,000
0.200% ,
2/26/2021
b
24,997,919
31,000,000
0.208% ,
3/4/2021
b
30,996,692
Caisse
des
Depots
et
Consignations
2,800,000
0.200% ,
3/3/2021
b
2,799,661
KFW
21,290,000
0.120% ,
2/22/2021
b,c
21,288,297
25,000,000
0.110% ,
3/1/2021
b,c
24,997,395
25,000,000
0.115% ,
3/2/2021
b,c
24,997,311
Total
175,074,432
Principal
Amount
Technology
(
0.9%
)
a
Value
IBM
Credit,
LLC
$
19,975,000
0.385%
(LIBOR
3M
+
0.160%),
2/5/2021
d
$
19,975,375
International
Business
Machines
Corporation
13,406,000
0.621%
(LIBOR
3M
+
0.400%),
5/13/2021
d
13,422,074
Qualcomm,
Inc.
9,500,000
0.150% ,
2/10/2021
b
9,499,715
Total
42,897,164
Principal
Amount
Transportation
(
1.2%
)
a
Value
Canadian
National
Railway
Company
10,000,000
0.100% ,
2/16/2021
b,c
9,999,530
25,000,000
0.100% ,
2/22/2021
b,c
24,998,300
Canadian
Pacific
Railway
Company
10,000,000
0.150% ,
2/3/2021
b
9,999,792
15,000,000
0.130% ,
2/4/2021
b
14,999,625
Total
59,997,247
Principal
Amount
U.S.
Government
&
Agencies
(
28.1%
)
a
Value
Federal
Agricultural
Mortgage
Corporation
14,290,000
0.141%
(LIBOR
1M
+
0.010%),
5/20/2021
d
14,289,135
14,490,000
0.123%
(LIBOR
1M
+
FLAT),
7/28/2021
d
14,488,592
10,000,000
0.189%
(LIBOR
1M
+
0.060%),
10/18/2021
d
10,000,910
21,500,000
0.129%
(LIBOR
1M
+
FLAT),
11/22/2021
d
21,496,526
9,000,000
0.144%
(LIBOR
1M
+
FLAT),
12/1/2021
d
8,998,511
20,500,000
0.218%
(LIBOR
3M
+
(0.010)%),
12/2/2021
d
20,502,616
5,000,000
0.318%
(LIBOR
3M
+
0.080%),
1/3/2022
d
5,005,183
64,000,000
0.160%
(LIBOR
1M
+
0.030%),
1/21/2022
d
64,001,715
26,700,000
0.120%
(LIBOR
3M
+
(0.100)%),
2/18/2022
d,e
26,691,858
Federal
Farm
Credit
Bank
48,320,000
0.136%
(LIBOR
1M
+
0.010%),
3/12/2021
d
48,321,229
14,410,000
0.130%
(SOFRRATE
+
0.090%),
7/15/2021
d
14,414,046
20,000,000
0.112%
(LIBOR
3M
+
(0.120)%),
8/6/2021
d
19,997,923
100,000,000
0.129%
(LIBOR
1M
+
(0.015)%),
9/1/2021
d
99,992,230
20,000,000
0.304%
(LIBOR
1M
+
0.160%),
10/4/2021
d
20,023,383
15,000,000
0.249%
(LIBOR
1M
+
0.120%),
10/18/2021
d
15,012,696
35,000,000
0.141%
(LIBOR
1M
+
0.010%),
10/20/2021
d
35,002,137
25,000,000
0.274%
(LIBOR
1M
+
0.130%),
11/5/2021
d
25,024,765
80,000,000
0.086%
(LIBOR
3M
+
(0.120)%),
11/10/2021
d
79,973,929
98,920,000
0.109%
(LIBOR
1M
+
(0.020)%),
11/16/2021
d
98,902,371
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
26
Principal
Amount
U.S.
Government
&
Agencies
(28.1%)
a
Value
$
200,000,000
0.134%
(LIBOR
1M
+
(0.010)%),
12/2/2021
d
$
199,976,286
25,000,000
0.151%
(LIBOR
1M
+
0.030%),
12/29/2021
d
25,014,081
5,830,000
0.369%
(LIBOR
1M
+
0.240%),
1/18/2022
d
5,843,416
8,225,000
0.206%
(LIBOR
1M
+
0.080%),
7/13/2022
d
8,230,092
16,200,000
0.220%
(LIBOR
1M
+
0.080%),
9/6/2022
d
16,214,713
Federal
Home
Loan
Bank
10,000,000
0.079%
(LIBOR
1M
+
(0.050)%),
2/16/2021
d
9,999,902
39,670,000
0.079%
(LIBOR
1M
+
(0.050)%),
2/22/2021
d
39,669,474
10,000,000
0.115%
(LIBOR
1M
+
(0.010)%),
3/26/2021
d
10,000,813
25,000,000
0.115%
(LIBOR
3M
+
(0.110)%),
4/13/2021
d
25,000,178
19,640,000
0.109%
(LIBOR
3M
+
(0.125)%),
4/14/2021
d
19,639,566
44,045,000
0.100%
(LIBOR
1M
+
(0.030)%),
4/20/2021
d
44,043,662
33,000,000
0.124%
(LIBOR
1M
+
(0.020)%),
5/3/2021
d
32,998,314
13,600,000
0.134%
(LIBOR
1M
+
(0.010)%),
5/3/2021
d
13,601,874
25,000,000
0.120%
(LIBOR
1M
+
(0.010)%),
5/24/2021
d
24,998,431
10,000,000
0.088%
(LIBOR
3M
+
(0.140)%),
6/2/2021
d
9,999,010
4,610,000
0.134%
(LIBOR
1M
+
(0.010)%),
6/2/2021
d
4,609,690
10,000,000
0.140%
(SOFRRATE
+
0.100%),
7/9/2021
d
10,003,387
11,325,000
0.115%
(SOFRRATE
+
0.075%),
7/23/2021
d
11,327,743
9,000,000
0.190%
(SOFRRATE
+
0.150%),
9/3/2021
d
9,007,256
25,000,000
0.130%
(LIBOR
1M
+
FLAT),
10/20/2021
d
24,995,694
89,400,000
0.115%
(LIBOR
1M
+
(0.015)%),
12/23/2021
d
89,384,017
Federal
Home
Loan
Bank
Discount
Notes
9,300,000
0.080% ,
2/3/2021
9,299,979
67,350,000
0.073% ,
3/19/2021
67,345,697
Federal
Home
Loan
Mortgage
Corporation
15,000,000
0.190%
(SOFRRATE
+
0.150%),
3/4/2022
d
15,016,767
Federal
National
Mortgage
Association
24,000,000
0.190%
(SOFRRATE
+
0.150%),
12/10/2021
d
24,026,290
10,000,000
0.210%
(SOFRRATE
+
0.170%),
3/9/2022
d
10,015,844
25,000,000
0.230%
(SOFRRATE
+
0.190%),
5/27/2022
d
25,047,540
U.S.
International
Development
Finance
Corporation
11,540,000
0.120%
(T-BILL
3M
+
FLAT),
6/20/2028
d
11,540,000
U.S.
Treasury
Bills
9,560,000
0.092% ,
2/4/2021
9,559,969
Principal
Amount
U.S.
Government
&
Agencies
(28.1%)
a
Value
$
12,155,000
0.058% ,
2/16/2021
$
12,154,785
Total
1,460,704,225
Principal
Amount
U.S.
Municipals
(
2.0%
)
a
Value
City
of
Memphis,
TN
2,940,000
0.110% ,
3/3/2021
c
2,940,059
Long
Island
Power
Auth.
10,000,000
0.100% ,
3/9/2021
c
10,000,000
Massachusetts
Educational
Financing
Auth.
6,000,000
0.180% ,
5/4/2021
c
6,000,180
South
Carolina
Association
of
Governmental
Organizations
25,000,000
4.000% ,
4/15/2021
25,192,000
State
of
California
22,250,000
2.800% ,
4/1/2021
22,345,453
State
of
Tennessee
9,200,000
0.300% ,
3/24/2021
c
9,201,564
State
of
Wisconsin
25,000,000
0.140% ,
3/4/2021
25,000,500
Worcester,
MA
G.O.
5,000,000
2.000% ,
2/16/2021
5,003,900
Total
105,683,656
Principal
Amount
Utilities
(
9.9%
)
a
Value
American
Electric
Power
Company,
Inc.
10,000,000
0.270% ,
2/16/2021
b
9,999,100
Centerpoint
Energy,
Inc.
20,000,000
0.190% ,
3/4/2021
b
19,996,128
Consolidated
Edison,
Inc.
25,000,000
0.260% ,
2/5/2021
b
24,999,271
25,000,000
0.260% ,
2/8/2021
b
24,998,903
25,000,000
0.270% ,
2/11/2021
b
24,998,510
15,000,000
0.110% ,
2/22/2021
b
14,998,070
Dominion
Energy,
Inc.
18,430,000
0.190% ,
3/9/2021
b
18,425,767
Duke
Energy
Corporation
19,154,000
0.130% ,
2/4/2021
b
19,153,694
25,000,000
0.130% ,
2/10/2021
b
24,998,800
10,000,000
0.160% ,
2/17/2021
b
9,999,034
10,000,000
0.130% ,
2/18/2021
b
9,998,961
Florida
Power
&
Light
Company
25,000,000
0.160% ,
2/4/2021
24,999,417
25,000,000
0.130% ,
2/17/2021
24,998,166
ITC
Holdings
Corporation
25,000,000
0.160% ,
2/19/2021
b
24,997,229
25,000,000
0.230% ,
3/30/2021
b
24,990,000
National
Rural
Utilities
Cooperative
Finance
Corporation
12,200,000
0.110% ,
2/19/2021
12,199,302
5,000,000
0.615%
(LIBOR
3M
+
0.375%),
6/30/2021
d
5,005,955
Nextera
Energy
Capital
Holdings
25,000,000
0.180% ,
2/17/2021
b,c
24,997,585
20,000,000
0.200% ,
2/23/2021
b,c
19,997,306
Northern
States
Power
Company
9,000,000
0.090% ,
2/1/2021
b
8,999,887
PPL
Electric
Utilities
Corporation
4,000,000
0.110% ,
2/1/2021
b
3,999,940
Short-Term
Reserve
Fund
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
27
Principal
Amount
Utilities
(9.9%)
a
Value
Sempra
Energy
$
9,856,000
0.667%
(LIBOR
3M
+
0.450%),
3/15/2021
d
$
9,861,012
Southern
Company
5,000,000
0.180% ,
2/17/2021
b
4,999,517
10,000,000
0.200% ,
2/18/2021
b
9,998,961
10,000,000
0.200% ,
2/19/2021
b
9,998,892
TransCanada
American
Investments,
Ltd.
25,000,000
0.250% ,
2/4/2021
b
24,999,375
10,000,000
0.200% ,
3/17/2021
b
9,997,089
Virginia
Electric
&
Power
Company
10,000,000
0.200% ,
2/1/2021
9,999,883
16,000,000
0.180% ,
3/2/2021
15,997,710
25,000,000
0.200% ,
3/8/2021
24,995,646
15,000,000
0.200% ,
3/9/2021
14,997,303
Total
513,596,413
Total
Investments
(cost
$5,279,475,980)
101.8%
$5,279,763,349
Other
Assets
and
Liabilities,
Net
(1.8)%
(90,855,168)
Total
Net
Assets
100.0%
$5,188,908,181
a
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
January
29,
2021,
the
value
of
these
investments
was
$2,460,301,006
or
47.4%
of
total
net
assets.
c
Denotes
investments
that
benefit
from
credit
enhancement
or
liquidity
support
provided
by
a
third
party
bank,
institution
or
government.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
January
29,
2021.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
Definitions:
Auth.
-
Authority
G.O.
-
General
Obligation
Ser.
-
Series
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFRRATE
-
Secured
Overnight
Financing
Rate
T-BILL
3M
-
U.
S.
Treasury
Bill
Rate
3
Month
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
January
29,
2021,
in
valuing
Short-Term
Reserve
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Asset-Backed
Securities
57,364,815
57,364,815
Basic
Materials
64,986,822
64,986,822
Capital
Goods
185,601,366
185,601,366
Consumer
Cyclical
142,452,517
142,452,517
Consumer
Non-Cyclical
220,036,882
220,036,882
Energy
169,644,864
169,644,864
Financials
2,081,722,946
2,081,722,946
Foreign
175,074,432
175,074,432
Technology
42,897,164
42,897,164
Transportation
59,997,247
59,997,247
U.S.
Government
&
Agencies
1,460,704,225
1,460,704,225
U.S.
Municipals
105,683,656
105,683,656
Utilities
513,596,413
513,596,413
Total
Investments
at
Value
$5,279,763,349
$–
$5,279,763,349
$–
Notes
to
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
28
SIGNIFICANT
ACCOUNTING
POLICIES
Valuation
of
Investments 
Securities
traded
on
U.S.
or
foreign
securities
exchanges
or
included
in
a
national
market
system
are
valued
at
the
last
sale
price
on
the
principal
exchange
as
of
the
close
of
regular
trading
on
such
exchange
or
the
official
closing
price
of
the
national
market
system.  Over-the-counter
securities
and
listed
securities
for
which
no
price
is
readily
available
are
valued
at
the
current
bid
price
considered
best
to
represent
the
value
at
that
time.
Security
prices
are
based
on
quotes
that
are
obtained
from
an
independent
pricing
service
approved
by
the
Trust’s
Board
of
Trustees
(“Board”).
The
pricing
service,
in
determining
values
of
fixed-income
securities,
takes
into
consideration
such
factors
as
current
quotations
by
broker/dealers,
coupon,
maturity,
quality,
type
of
issue,
trading
characteristics,
and
other
yield
and
risk
factors
it
deems
relevant
in
determining
valuations.
Securities
which
cannot
be
valued
by
the
approved
pricing
service
are
valued
using
valuations
obtained
from
dealers
that
make
markets
in
the
securities.
Exchange-listed
options and
futures
contracts
are
valued
at
the
primary
exchange
settle
price. 
Exchange
cleared
swap
agreements are
valued at the
clearinghouse
end
of
day
price. 
Swap
agreements
not
cleared
on
exchanges will
be
valued at
the
mid-price
from
the
primary
approved pricing
service. 
Forward
foreign
currency
exchange
contracts
are
marked-to-
market
based
upon
foreign
currency
exchange
rates
provided
by
the
pricing
service.
Investments
in
open-ended
mutual
funds
are
valued
at
the
net
asset
value
at
the
close
of
each
business
day.
Securities
held
by
the
Money
Market
Fund
are
valued
on
the
basis
of
amortized
cost
(which
approximates
market
value),
whereby
a
portfolio
security
is
valued
at
its
cost
initially
and
thereafter
valued
to
reflect
a
constant
amortization
to
maturity
of
any
discount
or
premium.
The
Money
Market
Fund
and
the
Trust’s
investment
adviser,
Thrivent
Asset
Management,
LLC
(“Thrivent
Asset
Mgt.”
or
the
“Adviser”),
follow
procedures
designed
to
help
maintain
a
constant
net
asset
value
of
$1.00
per
share. 
The
Board
has
delegated
responsibility
for
daily
valuation
of
the
Funds'
securities
to
the
Funds'
investment
Adviser.
The
Adviser
has
formed
a
Valuation
Committee
(“Committee”)
that
is
responsible
for
overseeing
the
Funds'
valuation
policies
in
accordance
with
Valuation
Policies
and
Procedures.
The
Committee
meets
on
a
monthly
and
on
an
as-needed
basis
to
review
price
challenges,
price
overrides,
stale
prices,
shadow
prices,
manual
prices,
money
market
pricing,
international
fair
valuation,
and
other
securities
requiring
fair
valuation. 
The
Committee
monitors
for
significant
events
occurring
prior
to
the
close
of
trading
on
the
New
York
Stock
Exchange
that
could
have
a
material
impact
on
the
value
of
any
securities
that
are
held
by
the
Funds.
Examples
of
such
events
include
trading
halts,
national
news/events,
and
issuer-specific
developments.
If
the
Committee
decides
that
such
events
warrant
using
fair
value
estimates,
the
Committee
will
take
such
events
into
consideration
in
determining
the
fair
value
of
such
securities.
If
market
quotations
or
prices
are
not
readily
available
or
determined
to
be
unreliable,
the
securities
will
be
valued
at
fair
value
as
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
In
accordance
with
U.S.
Generally
Accepted
Accounting
Principles
("GAAP"),
the
various
inputs
used
to
determine
the
fair
value
of
the
Funds’
investments
are
summarized
in
three
broad
levels.  Level
1
includes
quoted
prices
in
active
markets
for
identical
securities,
typically
included
in
this
level
are
U.S.
equity
securities,
futures,
options
and
registered
investment
company
funds.  Level
2
includes
other
significant
observable
inputs
such
as
quoted
prices
for
similar
securities,
interest
rates,
prepayment
speeds
and
credit
risk,
typically
included
in
this
level
are
fixed
income
securities,
international
securities,
swaps
and
forward
contracts.  Level
3
includes
significant
unobservable
inputs
such
as
the
Adviser’s
own
assumptions
and
broker
evaluations
in
determining
the
fair
value
of
investments.
The
valuation
levels
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
these
securities
or
other
investments. 
Investments
measured
using
net
asset
value
per
share
as
a
practical
expedient
for
fair
value
and
that
are
not
publicly
available
for
sale
are
not
categorized
within
the
fair
value
hierarchy.
Valuation
of
International
Securities
The
Funds
value
certain
foreign
securities
traded
on
foreign
exchanges
that
close
prior
to
the
close of
the
New
York
Stock
Exchange
using
a
fair
value
pricing
service. 
The
fair
value
pricing
service
uses
a
multi-factor
model
that
may
take
into
account
the
local
close,
relevant
general
and
sector
indices,
currency
fluctuation,
prices
of
other
securities
(including
ADRs,
New
York
registered
shares,
and
ETFs),
and
futures,
as
applicable,
to
determine
price
adjustments
for
each
security
in
order
to
reflect
the
effects
of
post-closing
events. 
The
Board
has
authorized
the
Adviser
to
make
fair
valuation
determinations
pursuant
to
policies
approved
by
the
Board.
Foreign
Denominated
Investments 
Foreign
denominated
assets
and
currency
contracts
may
involve
more
risks
than
domestic
transactions
including
currency
risk,
political
and
economic
risk,
regulatory
risk,
and
market
risk.
Certain
Funds
may
also
invest
in
securities
of
companies
located
in
emerging
markets.
Future
economic
or
political
developments
could
adversely
affect
the
liquidity
or
value,
or
both,
of
such
securities.
Derivative
Financial
Instruments 
— Certain
Funds
may
invest
in
derivatives,
a
category
that
includes
options,
futures,
swaps,
foreign
currency
forward
contracts
and
hybrid
instruments.
Derivatives
are
financial
instruments
whose
value
is
derived
from
another
security,
an
index
or
a
currency.
Each applicable
Fund
may
use
derivatives
for
hedging
(attempting
to
offset
a
potential
loss
in
one
position
by
establishing
an
interest
in
an
opposite
position).
This
includes
the
use
of
currency-based
derivatives to
manage
the
risk
of its
positions
in
foreign
securities.
Each applicable
Fund
may
also
use
derivatives
for
replication
of
a
certain
asset
class
or
Notes
to
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
29
speculation
(investing
for
potential
income
or
capital
gain).
These
contracts
may
be
transacted
on
an
exchange
or
over-the-counter
("OTC").
A
derivative
may
incur
a
mark
to
market
loss
if
the
value
of
the
derivative
decreases
due
to
an
unfavorable
change
in
the
market
rates
or
values
of
the
underlying
derivative.
Losses
can
also
occur
if
the
counterparty
does
not
perform
under
the
derivative.
A
Fund’s
risk
of
loss
from
the
counterparty
credit
risk
on
OTC
derivatives
is
generally
limited
to
the
aggregate
unrealized
gain
netted
against
any
collateral
held
by
such
Fund.
With
exchange
traded
futures
and
centrally
cleared
swaps,
there
is
minimal
counterparty
credit
risk
to
the
Funds
because
the
exchange’s
clearinghouse,
as
counterparty
to
such
derivatives,
guarantees
against
a
possible
default.
The
clearinghouse
stands
between
the
buyer
and
the
seller
of
the
derivative;
thus,
the
credit
risk
is
limited
to
the
failure
of
the
clearinghouse.
However,
credit
risk
still
exists
in
exchange
traded
futures
and
centrally
cleared
swaps
with
respect
to
initial
and
variation
margin
that
is
held
in
a
broker’s
customer
accounts.
While
brokers
are
required
to
segregate
customer
margin
from
their
own
assets,
in
the
event
that
a
broker
becomes
insolvent
or
goes
into
bankruptcy
and
at
that
time
there
is
a
shortfall
in
the
aggregate
amount
of
margin
held
by
the
broker
for
all
its
clients,
U.S.
bankruptcy
laws
will
typically
allocate
that
shortfall
on
a
pro-
rata
basis
across
all
the
broker’s
customers,
potentially
resulting
in
losses to
the
Funds.
Using
derivatives
to
hedge
can
guard
against
potential
risks,
but
it
also
adds
to
the
Funds'
expenses
and
can
eliminate
some
opportunities
for
gains.
In
addition,
a
derivative
used
for mitigating
exposure or
replication
may
not
accurately
track
the
value
of
the
underlying
asset.
Another
risk
with
derivatives
is
that
some
types
can
amplify
a
gain
or
loss,
potentially
earning
or
losing
substantially
more
money
than
the
actual
cost
of
the
derivative.
 In
order
to
define
their
contractual
rights
and
to
secure
rights
that
will
help
the
Funds
mitigate
their
counterparty
risk,
the
Funds
may
enter
into
an
International
Swaps
and
Derivatives
Association,
Inc.
Master
Agreement
(“ISDA
Master
Agreement”)
or
similar
agreement
with
its
derivative
contract
counterparties.
An
ISDA
Master
Agreement
is
a
bilateral
agreement
between
a
Fund
and
a
counterparty
that
governs
OTC
derivatives
and
foreign
exchange
contracts
and
typically
includes,
among
other
things,
collateral
posting
terms
and
netting
provisions
in
the
event
of
a
default
and/or
termination
event.
Under
an
ISDA
Master
Agreement,
each
Fund
may,
under
certain
circumstances,
offset
with
the
counterparty
certain
derivatives'
payables
and/or
receivables
with
collateral
held
and/or
posted
and
create
one
single
net
payment.
The
provisions
of
the
ISDA
Master
Agreement
typically
permit
a
single
net
payment
in
the
event
of
a
default
(close-out
netting)
including
the
bankruptcy
or
insolvency
of
the
counterparty.
Note,
however,
that
bankruptcy
and
insolvency
laws
of
a
particular
jurisdiction
may
impose
restrictions
on
or
prohibitions
against
the
right
of
offset
in
bankruptcy,
insolvency
or
other
events.
Collateral
and
margin
requirements
vary
by
type
of
derivative.
Margin
requirements
are
established
by
the
broker
or
clearinghouse
for
exchange
traded
and
centrally
cleared
derivatives
(futures,
options,
and
centrally
cleared
swaps).
Brokers
can
ask
for
margining
in
excess
of
the
minimum
requirements in
certain
situations.
Collateral
terms
are
contract
specific
for
OTC
derivatives
(foreign
currency
exchange
contracts,
options,
swaps).
For
derivatives
traded
under
an
ISDA
Master
Agreement,
the
collateral
requirements
are
typically
calculated
by
netting
the
mark
to
market
amount
for
each
transaction
under
such
agreement
and
comparing
that
amount
to
the
value
of
any
collateral
currently
pledged
by
the
Fund
and
the
counterparty.
For
financial
reporting
purposes,
non-cash
collateral
that
has
been
pledged
to
cover
obligations
of
the
Fund
has
been
noted
in
the
Schedule
of
Investments.
To
the
extent
amounts
due
to
the
Fund
from
its
counterparties
are
not
fully
collateralized,
contractually
or
otherwise,
the
Fund
bears
the
risk
of
loss
from
counterparty
nonperformance.
The
Funds
attempt
to
mitigate
counterparty
risk
by
only
entering
into
agreements
with
counterparties
that
they
believe
have
the
financial
resources
to
honor
their
obligations
and
by
monitoring
the
financial
stability
of
those
counterparties.
Options 
— Certain
Funds may
buy
put
and
call
options
and
write
put
and
covered
call
options.
The
Funds
intend
to
use
such
derivative
instruments
as
hedges
to
facilitate
buying
or
selling
securities
or
to
provide
protection
against
adverse
movements
in
security
prices
or
interest
rates.
The
Funds
may
also
enter
into
options
contracts
to
protect
against
adverse
foreign
exchange
rate
fluctuations.
Option
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
A
Fund
will
realize
a
gain
or
loss
upon
expiration
or
closing
of
the
option
transaction.
When
an
option
is
exercised,
the
proceeds
upon
sale
for
a
written
call
option
or
the
cost
of
a
security
for
purchased
put
and
call
options
is
adjusted
by
the
amount
of
premium
received
or
paid.
Buying
put
options
tends
to
decrease
a
Fund’s
exposure
to
the
underlying
security
while
buying
call
options
tends
to
increase
a
Fund’s
exposure
to
the
underlying
security.
The
risk
associated
with
purchasing
put
and
call
options
is
limited
to
the
premium
paid.
There
is
no
significant
counterparty
risk
on
exchange-traded
options
as
the
exchange
guarantees
the
contract
against
default.
Writing
put
options
tends
to
increase
a
Fund’s
exposure
to
the
underlying
security
while
writing
call
options
tends
to
decrease
a
Fund’s
exposure
to
the
underlying
security.
The
writer
of
an
option
has
no
control
over
whether
the
underlying
security
may
be
bought
or
sold,
and
therefore
bears
the
market
risk
of
an
unfavorable
change
in
the
price
of
the
underlying
security.
The
counterparty
risk
for
purchased
options
arises
when
a
Fund
has
purchased
an
option,
exercises
that
option,
and
the
counterparty
doesn’t
buy
from
the
Fund
or
sell
to
the
Fund
the
underlying
asset
as
required.
In
the
case
where
a
Fund
has
written
an
option,
the
Fund
doesn’t
have
counterparty
risk.
Counterparty
risk
on
purchased
over-
the-counter
options
is
partially
mitigated
by
the
Fund’s
collateral
posting
requirements.
As
the
option
increases
in
value
to
the
Fund,
the
Fund
receives
collateral
from
the
counterparty.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
Futures
Contracts 
— Certain
Funds may
use
futures
contracts
to
manage
the
exposure
to
interest
rate
and
market
or
currency
Notes
to
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
30
fluctuations.
Gains
or
losses
on
futures
contracts
can
offset
changes
in
the
yield
of
securities.
When
a
futures
contract
is
opened,
cash
or
other
investments
equal
to
the
required
“initial
margin
deposit”
are
held
on
deposit
with
and
pledged
to
the
broker.
Additional
securities
held
by
the
Funds
may
be
earmarked
to
cover
open
futures
contracts.
The
futures
contract’s
daily
change
in
value
(“variation
margin”)
is
either
paid
to
or
received
from
the
broker,
and
is
recorded
as
an
unrealized
gain
or
loss.
When
the
contract
is
closed,
realized
gain
or
loss
is
recorded
equal
to
the
difference
between
the
value
of
the
contract
when
opened
and
the
value
of
the
contract
when
closed.
Futures
contracts
involve,
to
varying
degrees,
risk
of
loss
in
excess
of
the
variation
margin
disclosed
in
the
Statement
of
Assets
and
Liabilities.
Exchange-traded
futures
have
no
significant
counterparty
risk
as
the
exchange
guarantees
the
contracts
against
default.
During
the period
ended January
29,
2021,
Core
International
Equity
Fund
used
equity
futures
to
manage
exposure
to
the
equities
market.
Foreign
Currency
Forward
Contracts 
In
connection
with
purchases
and
sales
of
securities
denominated
in
foreign
currencies, certain
Funds
may
enter
into
foreign
currency
forward contracts.
Additionally,
the
Funds
may
enter
into
such
contracts
to mitigate
currency
and
counterparty
exposure
to other
foreign-currency-denominated
investments.
These
contracts
are
recorded
at
value
and
the realized-
and
change
in
unrealized-
foreign
exchange
gains
and
losses
are
included
in
the
Statement
of
Operations.
In
the
event
that
counterparties
fail
to
settle
these forward
contracts,
the
Funds
could
be
exposed
to
foreign
currency
fluctuations.
Foreign
currency
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded
daily
as
the
difference
between
the
contract
exchange
rate
and
the
closing
forward
rate
applied
to
the
face
amount
of
the
contract.
A
realized
gain
or
loss
is
recorded
at
the
time
a
forward
contract
is
closed.
These
contracts
are
over-the-counter
and
the
Fund
is
exposed
to
counterparty
risk
equal
to
the
discounted
net
amount
of
payments
to
the
Fund.
Swap
Agreements 
— Certain
Funds may enter
into
swap
transactions,
which
involve
swapping
one
or
more
investment
characteristics
of
a
security
or
a
basket
of
securities
with
another
party.
Such
transactions
include
market
risk,
risk
of
default
by
the
other
party
to
the
transaction,
risk
of
imperfect
correlation
and
manager
risk
and
may
involve
commissions
or
other
costs.
Swap
transactions
generally
do
not
involve
delivery
of
securities,
other
underlying
assets
or
principal.
Accordingly,
the
risk
of
loss
with
respect
to
swap
transactions
is
generally
limited
to
the
net
amount
of
payments
that
the
Fund
is
contractually
obligated
to
make,
or
in
the
case
of
the
counterparty
defaulting,
the
net
amount
of
payments
that
the
Fund
is
contractually
entitled
to
receive.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
If
there
is
a
default
by
the
counterparty,
the
Fund
may
have
contractual
remedies
pursuant
to
the
agreements
related
to
the
transaction.
The
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
Swap
agreements
are
valued
at
the
clearinghouse
end
of
day
prices
as
furnished by
an
independent
pricing
service.
The
pricing
service
takes
into
account
such
factors
as
swap
curves,
default
probabilities,
recent
trades,
recovery
rates
and
other
factors
it
deems
relevant
in
determining
valuations.
Daily
fluctuations
in
the
value
of
the
centrally
cleared
credit
default
contracts
are
recorded
in
variation
margin
in
the
Statement
of
Assets
and
Liabilities
and
recorded
as
unrealized
gain
or
loss.
The
Fund
accrues
for
the
periodic
payment
and
amortizes
upfront
payments,
if
any,
on
swap
agreements
on
a
daily
basis
with
the
net
amount
recorded
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Receipts
and
payments
received
or
made
as
a
result
of
a
credit
event
or
termination
of
the
contract
are
also
recognized
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Collateral,
in
the
form
of
cash
or
securities,
may
be
required
to
be
held
with
the
Fund’s
custodian,
or
a
third
party,
in
connection
with
these
agreements.
Certain swap
agreements
are
over-the-counter
and
the
Fund
is
exposed
to
counterparty
risk,
which
is
the
discounted
net
amount
of
payments
owed
to
the
Fund.
This
risk
is
partially
mitigated
by
the
Fund’s
collateral
posting
requirements.
As
the
swap
increases
in
value
to
the
Fund,
the
Fund
receives
collateral
from
the
counterparty.  Certain
interest
rate
and
credit
default
index
swaps
must
be
cleared
through
a
clearinghouse
or
central
counterparty.
Credit
Default
Swaps 
A
credit
default
swap
is
a
swap
agreement
between
two
parties
to
exchange
the
credit
risk
of
a
particular
issuer,
basket
of
securities
or
reference
entity.
In
a
credit
default
swap
transaction,
a
buyer
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
The
seller
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
A
buyer
of
a
credit
default
swap
is
said
to
buy
protection
whereas
a
seller
of
a
credit
default
swap
is
said
to
sell
protection.
The
Funds
may
be
either
the
protection
seller
or
the
protection
buyer.
Certain
Funds
enter
into
credit
default
derivative
contracts
directly
through
credit
default
swaps
(CDS)
or
through
credit
default
swap
indices
("CDX
Indices").
CDX
Indices
are
static
pools
of
equally
weighted
credit
default
swaps
referencing
corporate
bonds
and/or
loans
designed
to increase
or
decrease diversified
credit
exposure
to
these
asset
classes.
Funds
sell
default
protection
and
assume
long-risk
positions
in
individual
credits
or
indices.
Index
positions
are
entered
into
to
gain
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure.
In
the
event
that
a
position
defaults,
by
going
into
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money,
within
any
given
CDX
Index
held,
the
maximum
potential
amount
of
future
payments
required
would
be
equal
to
the
pro-rata
share
of
that
position
within
the
index
based
on
the
notional
amount
of
the
index.
In
the
event
of
a
default
under
a
CDS
contract
the
maximum
potential
amount
of
future
payments
would
be
the
notional
amount.
Notes
to
Schedule
of
Investments
as
of
January
29,
2021
(unaudited)
31
Funds
buy
default
protection
in
order
to
reduce
their
overall
credit
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure.
If
a
default
event
as
specified
in
the
CDS
reference
entity
agreement
occurs,
the
Fund
has
the
option
to
receive
a
cash
payment
in
exchange
for
the
credit
loss
or
the
reference
entity
obligation
as
of
the
date
of
the
credit
event.
A
realized
gain
or
loss
is
recorded
upon
a
default
event
or
the
maturity
or
termination
of
the
CDS
agreement.
For
CDS,
the
default
events
could
be
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money
or
a
restructuring.
A
restructuring
is
a
change
in
the
underlying
obligations
which
could
include
a
reduction
in
interest
or
principal,
maturity
extension or
subordination
to
other
obligations.
For
financial
reporting
purposes,
the
Funds
do
not
offset
derivative
assets
and
derivative
liabilities
that
are
subject
to
netting
arrangements
in
the
Statement
of
Assets
and
Liabilities.
Additional
information
for
the
Funds’
policy
regarding
valuation
of
investments
and
other
significant
accounting
policies
can
be
obtained
by
referring
to
the
Funds’
most
recent
annual
or
semiannual
shareholder
report.