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TSME · Thrivent Small-Mid Cap Equity ETF ETF

Thrivent ETF Trust

SEC fund profile
$47.89 +0.65% At close · Sep 4
Net assets $1,050,577,986
Holdings69
1 month
-4.96%
Year to date
+15.02%
52-week range
$38.38–$52.37
30-session avg volume
93,894

Market performance

Adjusted close · up to five years

Since Oct 2022

Fund profile

Structure
Open-end / ETF
SEC series
S000075337
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings26.32%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.90%
STIV0.14%

Country allocation

US83.96%
IE5.34%
KY4.91%
BM2.27%
CA1.81%
GB1.74%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Enova International Inc$32,941,4933.14%
Bel Fuse Inc$32,926,6663.13%
SharkNinja Inc$31,200,8842.97%
Modine Manufacturing Co$27,298,7902.60%
Littelfuse Inc$27,109,4382.58%
CECO Environmental Corp$27,051,6812.57%
LSI Industries Inc$26,934,6302.56%
Element Solutions Inc$24,101,1922.29%
Viking Holdings Ltd$23,822,7872.27%
Coherent Corp$23,109,2362.20%
Limbach Holdings Inc$22,127,1822.11%
Turning Point Brands Inc$21,787,9432.07%
Ryder System Inc$21,578,7602.05%
Penguin Solutions Inc$20,404,5801.94%
FTAI Aviation Ltd$20,397,4211.94%
nVent Electric PLC$19,821,9811.89%
OneMain Holdings Inc$19,271,1541.83%
Celestica Inc$19,004,6211.81%
GPGI Inc$18,410,6311.75%
Standex International Corp$18,045,1671.72%
Patrick Industries Inc$17,466,2501.66%
Casey's General Stores Inc$17,385,2361.65%
NPK International Inc$17,380,7201.65%
Federal Agricultural Mortgage Corp$17,375,9451.65%
Installed Building Products Inc$16,121,2071.53%
Federal Signal Corp$16,091,8311.53%
IES Holdings Inc$15,893,6341.51%
Triumph Financial Inc$15,863,1701.51%
InterDigital Inc$15,738,3471.50%
ICON PLC$15,464,0121.47%
Cohu Inc$15,025,6811.43%
Daktronics Inc$14,726,1961.40%
Avanos Medical Inc$14,634,7641.39%
Twist Bioscience Corp$14,470,2781.38%
Quanta Services Inc$14,325,1961.36%
Steel Dynamics Inc$14,179,2511.35%
Royalty Pharma PLC$13,755,5411.31%
Regal Rexnord Corp$13,592,3121.29%
James Hardie Industries PLC$13,500,9471.29%
Universal Technical Institute Inc$13,300,0591.27%
Core & Main Inc$13,006,9941.24%
Materion Corp$12,916,5401.23%
MKS Inc$12,745,7441.21%
Labcorp Holdings Inc$12,186,4401.16%
NiSource Inc$12,173,4181.16%
Climb Global Solutions Inc$12,170,8371.16%
Robinhood Markets Inc$11,847,5811.13%
Herc Holdings Inc$11,446,2721.09%
Transcat Inc$11,433,4391.09%
Arcosa Inc$11,215,5161.07%