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Thrivent International Large Cap ETF

Open-end / ETF
Registrant
Thrivent ETF Trust
Class ticker
Net Assets
$834,743,796
Holdings
320
Latest Report
Jun 30, 2026

Holdings · 320

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Showing 1–50 of 320 holdings by value · page 1 of 7
Holding Balance Value % of Fund Open
ASML Holding NV
17,002 $33,440,749 4.01%
Novartis AG
120,699 $18,908,514 2.27%
ABB Ltd
161,520 $17,507,329 2.10%
BHP Group Ltd
369,391 $15,191,425 1.82%
Shell PLC
351,095 $13,659,273 1.64%
BNP Paribas SA
112,155 $13,089,066 1.57%
Roche Holding AG
31,131 $12,822,273 1.54%
Tokyo Electron Ltd
26,000 $12,336,788 1.48%
GSK PLC
468,971 $12,323,138 1.48%
Investor AB
295,530 $12,269,112 1.47%
Banco Santander SA
845,847 $11,678,759 1.40%
NatWest Group PLC
1,253,261 $11,088,128 1.33%
Advantest Corp
53,700 $10,680,882 1.28%
Safran SA
26,166 $10,314,558 1.24%
UniCredit SpA
108,798 $9,728,703 1.17%
AstraZeneca PLC
51,298 $9,594,236 1.15%
Barclays PLC
1,402,208 $9,422,551 1.13%
UBS Group AG
187,677 $9,304,877 1.11%
Koninklijke Ahold Delhaize NV
226,907 $9,131,275 1.09%
TotalEnergies SE
116,422 $9,049,607 1.08%
AXA SA
177,421 $8,889,325 1.06%
Allianz SE
17,313 $8,191,657 0.98%
CK Hutchison Holdings Ltd
961,500 $8,121,968 0.97%
Enel SpA
697,783 $8,015,921 0.96%
Siemens AG
24,494 $7,868,501 0.94%
EDP SA
1,472,841 $7,709,218 0.92%
Anheuser-Busch InBev SA/NV
88,159 $7,319,076 0.88%
Generali
148,727 $7,240,950 0.87%
Kioxia Holdings Corp
13,100 $7,225,364 0.87%
Mitsubishi UFJ Financial Group Inc
357,100 $7,043,388 0.84%
Legrand SA
41,703 $7,037,882 0.84%
Rio Tinto Ltd
57,874 $6,912,315 0.83%
Ferrovial NV
98,260 $6,734,067 0.81%
Tokio Marine Holdings Inc
147,400 $6,528,951 0.78%
Tesco PLC
1,047,771 $6,375,085 0.76%
Galderma Group AG
27,721 $6,309,272 0.76%
Sandvik AB
152,910 $6,306,364 0.76%
Commonwealth Bank of Australia
54,491 $6,210,594 0.74%
Banco Bilbao Vizcaya Argentaria SA
243,809 $6,092,460 0.73%
Banco de Sabadell SA
1,680,425 $5,950,246 0.71%
Infineon Technologies AG
63,707 $5,944,891 0.71%
Singapore Exchange Ltd
316,300 $5,887,153 0.71%
Zurich Insurance Group AG
7,588 $5,621,506 0.67%
Next PLC
28,686 $5,534,451 0.66%
Sumitomo Electric Industries Ltd
300,000 $5,400,535 0.65%
HSBC Holdings PLC
281,780 $5,347,859 0.64%
Recruit Holdings Co Ltd
73,300 $5,107,715 0.61%
Prosus NV
117,095 $5,082,786 0.61%
ASM International NV
4,442 $5,077,966 0.61%
Unipol Assicurazioni SpA
179,254 $4,999,549 0.60%