Posting Date|Posting Time|MFQS Effective Date|MFQS Event Code|Issuer Corporate Action Date|Instrument Type / Tier - Current|Instrument Type / Tier - New|Instrument Code - Current|Instrument Code - New|MFQS Symbol - Current|MFQS Symbol - New|CUSIP - Current|CUSIP - New|Instrument Name - Current|Instrument Name - New|Issuer Name - Current|Issuer Name - New|Exchange Code for Listed Instruments - Current|Exchange Code for Listed Instruments - New|Exchange Symbol For Listed Instruments - Current|Exchange Symbol For Listed Instruments - New|Newspaper Category - Current|Newspaper Category - New|Newspaper Abbreviation - Current|Newspaper Abbreviation - New|Pricing Agent - Current|Pricing Agent - New|Pricing Frequency - Current|Pricing Frequency - New|Country of Issuance|ISIN - Current|ISIN - New|Currency|Inception Date|NAV - Inception Date|Total Net Assets - Inception Date|Minimum Initial Subscription|Minimum Incremental Subscription|Open To New Investors|Number of Shareholders|Number of Shareholders Date|Total Shares Outstanding|Total Shares Outstanding Date|Total Net Assets|Total Net Assets Date|Deposit Date - Current|Deposit Date - New|Termination Date - Current|Termination Date - New|Distribution Frequency - Current|Distribution Type - Current|Distribution Frequency - New|Distribution Type - New|Par Value Per Share/Unit|Deletion Reason|MFQS Symbol for Merger/Acquisition|CUSIP for Merger/Acquisition|Document Available|NSCC Clearing Eligible - Current|NSCC Clearing Eligible - New|Test Symbol Flag|Symbol Reuse Flag|Instrument Registration - Current|Instrument Registration - New|Notes for Daily List Record|Investor Type - Current|Investor Type - New|Instrument Class - Current|Instrument Class - New|Root Symbol - Current|Root Symbol - New 01/02/2018|093150|01/03/2018|MFQS Attribute Change||MF|MF|O|O|AAAGX|AAAGX|885882100|885882100|Thrivent Large Cap Growth Fund Class A|Thrivent Large Cap Growth Fund Class A|Thrivent Funds|Thrivent Funds|||||Thrivent Funds A|Thrivent Funds A|LgCpGwth p|LgCpGwth p|Thrivent Investment Management Inc.|Thrivent Investment Management Inc.|D|D|US||NQ1EIOFSWJ5|USD|08/22/2000|||||O|1216||28555||8650000||||||||||||||N|||N|N|S|S||||A|||NSDQWT5XG4A13 01/02/2018|113322|01/03/2018|Addition|||MS||O||NWGVX||AV4H4OGP2||MFQS BATCH FILE UPLOAD TEST - OPEN END MUTUAL FUND (REUSED TICKER) Foreign Country, Currency, Root Symbol||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||D|CA||USAV4H4OGP2|CAD|01/03/2018|||||O|19000|01/03/2018|||950000000||||||||||||||Y||Y|N|Y||S||||Not Assigned|||NSDQ1IPZDN1R9 01/02/2018|113322|01/03/2018|Addition|||CT||1||NASDAX||PXYXEAVU5||MFQS BATCH FILE UPLOAD TEST - Collective Interest Trust (CIT)||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||W|IE||ACPXYXEAVU5|EUR|01/03/2018|||||O|||||||||||||||||||N||Y|N|Y||S||||Test||| 01/02/2018|113322|01/03/2018|Addition|||MA||2||NASDBX||LCB3PLTE9||MFQS BATCH FILE UPLOAD TEST - Separately Managed Account (SMA)||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||I|US||ADLCB3PLTE9|USD|01/03/2018|||||O|||||750000000||||||||||||||N||Y|N|Y||S|||R|Not Assigned||| 01/02/2018|113322|01/03/2018|Addition|||MA||3||NASDCX||OPBKSOTI1||MFQS BATCH FILE UPLOAD TEST - Unified Managed Account (UMA)||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||D|US||AHOPBKSOTI1|USD|01/03/2018|||||||||||||01/03/2018||12/31/2020|||M|C|||||N||Y|N|Y||S||||Not Assigned||| 01/02/2018|113322|01/03/2018|Addition|||SA||4||NASDSX||CFU1OOMP2||MFQS BATCH FILE UPLOAD TEST - Separate Accounts||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||D|US||AICFU1OOMP2|USD|01/03/2018|||||||||||||01/03/2018||12/31/2020|||M|RC|||||N||Y|N|N||S||||Not Assigned||| 01/02/2018|113322|01/03/2018|Addition|||HF||H||NASDHX||S503RG5Y0||MFQS BATCH FILE UPLOAD TEST - Hedge Fund||Test Issuer for Nasdaq UATs||||||||||State Street Bank & Trust Company||W|US||AJS503RG5Y0|USD|01/03/2018|||||O|||||||||||||||||||N||Y|N|Y||S||||Not Assigned||| MFQSAdvance|01/02/2018