Thrivent Asset Management, LLC is the model portfolio provider for Thrivent SELECT Managed PortfoliosSM and Thrivent Income-Focused Managed PortfoliosSM as well as the investment adviser for Thrivent Mutual Funds. TAM has managed mutual fund assets since 1970, has run asset allocation funds since 2005 and provided model portfolios since 2007.1
Thrivent Asset Management, LLC is a subsidiary of Thrivent, which is a membership-owned fraternal organization, as well as a holistic financial services organization. Thrivent is a Fortune 500 company with more than $152 billion in assets under management/advisement.2
1 Before May 31, 2019, Thrivent Managed Portfolios were offered through Thrivent Investment Management, Inc, an affiliate of Thrivent Asset Management, LLC. Thrivent Asset Management personnel comprised a committee that made investment recommendations for these portfolios to Thrivent Investment Management during that time. Since the same investment personnel are involved, Thrivent Asset Management Model Portfolio performance includes results from the periods the portfolios were offered by Thrivent Investment Management.
2 As of December 31, 2019. Includes the Thrivent General Account (which manages surplus and the assets backing our life insurance, fixed annuity and health products), variable subaccount portfolios (primarily connected to variable annuities and variable universal life insurance), mutual funds and other assets related to our affiliates and other subsidiaries.
PRIVACY & SECURITY Thrivent Asset Management © 2020. All Rights Reserved.
Investing involves risk, including the loss of principal. The prospectus and summary prospectus for the securities within the model portfolios contain more complete information on the investment objectives, risks, charges, expenses and other information of the fund, which investors should read and carefully consider before investing. To obtain prospectuses, contact your Regional Investment Consultant or call 800-521-5308.
Thrivent Asset Management’s role is providing sponsors of managed accounts with non-discretionary investment advice in the form of model portfolios. The implementation of or reliance on a model portfolio is at the discretion of the managed account sponsor. Thrivent Asset Management is not providing personalized investment advice or investment recommendations and will not make any representations about the suitability of a model portfolio for any investor. Thrivent Model portfolio information is intended for use only by third-party adviser firms in conjunction with their management of their clients’ accounts. The information about the Thrivent Model Portfolios is confidential and should not be disclosed, copied or used for any other purpose. Thrivent Asset Management does not have investment discretion over, or place trade orders for any portfolio derived from this information.
Thrivent Managed Portfolios may include Thrivent Mutual Funds. Thrivent Asset Management, LLC (“Thrivent Asset Management”), a registered investment adviser, serves as investment adviser and administrator to the Thrivent Mutual Funds and receives fees for its services as disclosed in the applicable Funds’ prospectuses and Statement of Additional Information. As the investment adviser for Thrivent Mutual Funds, Thrivent Asset Management has greater knowledge of the funds and has a tendency to prefer Thrivent Mutual Funds. Thrivent Financial and its subsidiaries may earn distribution and other fees, including 12b-1 fees, in connection with Thrivent Mutual Funds. For more information about potential conflicts of interest, read the Thrivent Asset Management Form ADV – Part 2 Brochure. Thrivent Mutual Funds are distributed by Thrivent Distributors, LLC, member FINRA and SIPC. Both Thrivent Asset Management and Thrivent Distributors are subsidiaries of Thrivent Financial for Lutherans.
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