THRIVENT MODERATELY CONSERVATIVE ALLOCATION FUND CLASS A(TCAAX) USD 11.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.80%USD 0.211USD0.094592022-12-30
USD0.0472022-09-30
USD0.038942022-06-30
USD0.030882022-03-31
20214.31%USD 0.507USD0.110712021-12-31
USD0.304432021-12-09
USD0.03182021-09-30
USD0.032052021-06-30
USD0.028442021-03-31
20204.29%USD 0.505USD0.072552020-12-31
USD0.316042020-12-10
USD0.034862020-09-30
USD0.04062020-06-30
USD0.040932020-03-31
20195.47%USD 0.643USD0.081112019-12-31
USD0.410162019-12-12
USD0.049882019-09-30
USD0.052019-06-28
USD0.051722019-03-29
20183.89%USD 0.457USD0.109392018-12-31
USD0.190182018-12-13
USD0.0552018-09-28
USD0.056762018-06-29
USD0.045812018-03-29
20171.86%USD 0.218USD0.085122017-12-29
USD0.045972017-09-29
USD0.044812017-06-30
USD0.042552017-03-31
20161.67%USD 0.196USD0.070852016-12-30
USD0.041282016-09-30
USD0.044142016-06-30
USD0.040182016-03-31
20151.44%USD 0.17USD0.054392015-12-31
USD0.041472015-09-30
USD0.038972015-06-30
USD0.03482015-03-31
20144.04%USD 0.475USD0.083972014-12-31
USD0.264842014-12-11
USD0.041512014-09-30
USD0.044592014-06-30
USD0.040222014-03-31
20131.70%USD 0.2USD0.087312013-12-31
USD0.049292013-09-30
USD0.03482013-06-28
USD0.028532013-03-28
20123.42%USD 0.402USD0.088362012-12-31
USD0.188812012-12-13
USD0.038322012-09-28
USD0.041372012-06-29
USD0.045022012-03-30
20111.91%USD 0.224USD0.064192011-12-30
USD0.054452011-09-30
USD0.051742011-06-30
USD0.0542011-03-31
20102.23%USD 0.262USD0.086712010-12-31
USD0.061272010-09-30
USD0.059052010-06-30
USD0.055072010-03-31
20092.23%USD 0.262USD0.083162009-12-31
USD0.057532009-09-30
USD0.059772009-06-30
USD0.061562009-03-31
20082.78%USD 0.327USD0.118682008-12-31
USD0.070042008-09-30
USD0.068022008-06-30
USD0.070112008-03-31
20074.42%USD 0.519USD0.195492007-12-31
USD0.100882007-12-18
USD0.070542007-09-28
USD0.072052007-06-29
USD0.080442007-03-30
20063.28%USD 0.386USD0.157432006-12-29
USD0.028792006-12-18
USD0.072652006-10-02
USD0.064892006-07-03
USD0.062052006-04-03
20051.16%USD 0.137USD0.1132005-12-30
USD0.0242005-09-30