THRIVENT MODERATELY CONSERVATIVE ALLOCATION FUND CLASS S(TCAIX) USD 11.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.04%USD 0.241USD0.101572022-12-30
USD0.054282022-09-30
USD0.046262022-06-30
USD0.038732022-03-31
20214.58%USD 0.54USD0.119112021-12-31
USD0.304432021-12-09
USD0.040232021-09-30
USD0.04022021-06-30
USD0.03632021-03-31
20204.53%USD 0.535USD0.080372020-12-31
USD0.316042020-12-10
USD0.042582020-09-30
USD0.047722020-06-30
USD0.048352020-03-31
20195.71%USD 0.674USD0.088942019-12-31
USD0.410162019-12-12
USD0.057672019-09-30
USD0.0582019-06-28
USD0.058842019-03-29
20184.15%USD 0.489USD0.11732018-12-31
USD0.190182018-12-13
USD0.0632018-09-28
USD0.064842018-06-29
USD0.054122018-03-29
20173.91%USD 0.461USD0.093512017-12-29
USD0.2092017-12-14
USD0.054382017-09-29
USD0.053222017-06-30
USD0.050822017-03-31
20162.84%USD 0.335USD0.079222016-12-30
USD0.1032016-12-15
USD0.049992016-09-30
USD0.052982016-06-30
USD0.049342016-03-31
20154.59%USD 0.541USD0.063982015-12-31
USD0.3312015-12-10
USD0.052182015-09-30
USD0.049612015-06-30
USD0.04452015-03-31
20144.36%USD 0.515USD0.093842014-12-31
USD0.264842014-12-11
USD0.051842014-09-30
USD0.054522014-06-30
USD0.04982014-03-31
20134.16%USD 0.491USD0.097282013-12-31
USD0.2562013-12-12
USD0.055172013-09-30
USD0.044532013-06-28
USD0.038042013-03-28
20123.72%USD 0.439USD0.097782012-12-31
USD0.188812012-12-13
USD0.047532012-09-28
USD0.050712012-06-29
USD0.054432012-03-30
20112.69%USD 0.318USD0.073312011-12-30
USD0.0592011-12-15
USD0.063992011-09-30
USD0.060422011-06-30
USD0.061112011-03-31
20102.45%USD 0.289USD0.093712010-12-31
USD0.067922010-09-30
USD0.065552010-06-30
USD0.061452010-03-31
20092.42%USD 0.285USD0.08962009-12-31
USD0.063612009-09-30
USD0.065272009-06-30
USD0.066812009-03-31
20082.98%USD 0.352USD0.124282008-12-31
USD0.076932008-09-30
USD0.074682008-06-30
USD0.076142008-03-31
20074.57%USD 0.539USD0.201852007-12-31
USD0.100882007-12-18
USD0.076522007-09-28
USD0.077492007-06-29
USD0.082052007-03-30
20063.54%USD 0.418USD0.165382006-12-29
USD0.028792006-12-18
USD0.081032006-10-02
USD0.07322006-07-03
USD0.069272006-04-03
20051.24%USD 0.146USD0.122005-12-30
USD0.0262005-09-30