Shareholder Report | 12 Months Ended |
Oct. 31, 2024 USD ($) Holding |
Shareholder Report [Line Items] | |
Document Type | N-CSR |
Amendment Flag | false |
Registrant Name | Thrivent Mutual Funds |
Entity Central Index Key | 0000811869 |
Entity Investment Company Type | N-1A |
Document Period End Date | Oct. 31, 2024 |
C000002053 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Aggressive Allocation Fund |
Class Name | A |
Trading Symbol | TAAAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Aggressive Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B18"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $107 0.93% |
Expenses Paid, Amount | $ 107 |
Expense Ratio, Percent | 0.93% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Aggressive Allocation Fund (Class A), earned a return of 30.33%, outperforming its peer group, the Morningstar Aggressive Allocation category which returned 29.22%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 9,550 10,000 10,000 10,000 10,000 10/15 9,815 9,997 10,520 10,196 9,532 10/16 9,947 10,201 10,994 10,641 9,553 10/17 12,265 12,568 13,593 10,737 11,812 10/18 12,620 12,503 14,591 10,517 10,838 10/19 13,831 14,078 16,681 11,727 12,059 10/20 14,539 14,766 18,301 12,453 11,745 10/21 20,216 20,270 26,155 12,393 15,228 10/22 16,594 16,225 22,334 10,450 11,463 10/23 17,341 17,929 24,599 10,487 12,847 10/24 22,629 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 30.33% 10.35% 9.01% Class A (including sales charge ) Footnote Reference 24.65% 9.33% 8.51% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 2,716,078,241 |
Holdings Count | Holding | 979 |
Advisory Fees Paid, Amount | $ 18,182,661 |
InvestmentCompanyPortfolioTurnover | 48% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,716,078,241 979 48% $18,182,661 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 31.3% Mid Cap 24.8% Short-Term Investments 13.5% International 12.8% Small Cap 12.2% Investment Grade Debt 4.2% Private Equity 1.1% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 8.4% Thrivent International Allocation Fund, Class S 6.0% Thrivent Mid Cap Stock Fund, Class S 4.9% Thrivent Large Cap Value Fund, Class S 4.8% Thrivent Core International Equity Fund 2.9% Thrivent Core Mid Cap Value Fund 2.5% Thrivent Global Stock Fund, Class S 2.3% Thrivent Small Cap Stock Fund, Class S 2.2% Thrivent Core Emerging Markets Equity Fund 1.9% NVIDIA Corporation 1.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000002054 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Aggressive Allocation Fund |
Class Name | S |
Trading Symbol | TAAIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Aggressive Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B41"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $87 0.75% |
Expenses Paid, Amount | $ 87 |
Expense Ratio, Percent | 0.75% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Aggressive Allocation Fund (Class S), earned a return of 30.60%, outperforming its peer group, the Morningstar Aggressive Allocation category which returned 29.22%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 10,000 10,000 10,000 10,000 10,000 10/15 10,329 9,997 10,520 10,196 9,532 10/16 10,503 10,201 10,994 10,641 9,553 10/17 12,985 12,568 13,593 10,737 11,812 10/18 13,401 12,503 14,591 10,517 10,838 10/19 14,715 14,078 16,681 11,727 12,059 10/20 15,487 14,766 18,301 12,453 11,745 10/21 21,582 20,270 26,155 12,393 15,228 10/22 17,740 16,225 22,334 10,450 11,463 10/23 18,573 17,929 24,599 10,487 12,847 10/24 24,271 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 30.60% 10.53% 9.27% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 2,716,078,241 |
Holdings Count | Holding | 979 |
Advisory Fees Paid, Amount | $ 18,182,661 |
InvestmentCompanyPortfolioTurnover | 48% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,716,078,241 979 48% $18,182,661 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 31.3% Mid Cap 24.8% Short-Term Investments 13.5% International 12.8% Small Cap 12.2% Investment Grade Debt 4.2% Private Equity 1.1% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 8.4% Thrivent International Allocation Fund, Class S 6.0% Thrivent Mid Cap Stock Fund, Class S 4.9% Thrivent Large Cap Value Fund, Class S 4.8% Thrivent Core International Equity Fund 2.9% Thrivent Core Mid Cap Value Fund 2.5% Thrivent Global Stock Fund, Class S 2.3% Thrivent Small Cap Stock Fund, Class S 2.2% Thrivent Core Emerging Markets Equity Fund 1.9% NVIDIA Corporation 1.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000002055 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Balanced Income Plus Fund |
Class Name | A |
Trading Symbol | AABFX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Balanced Income Plus Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B65"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $107 0.97% |
Expenses Paid, Amount | $ 107 |
Expense Ratio, Percent | 0.97% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Balanced Income Plus Fund (Class A), earned a return of 19.04%, outperforming its peer group, the Morningstar Moderately Conservative Allocation category which returned 18.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index Bloomberg U.S. Mortgage-Backed Securities Index MSCI World Index - USD Net Returns 10/14 9,550 10,000 10,000 10,000 10,000 10,000 10/15 9,759 9,997 10,196 9,944 10,252 10,177 10/16 10,035 10,201 10,641 10,802 10,588 10,298 10/17 11,117 12,568 10,737 11,660 10,644 12,643 10/18 11,228 12,503 10,517 11,695 10,483 12,789 10/19 12,081 14,078 11,727 12,893 11,412 14,413 10/20 12,275 14,766 12,453 13,480 11,863 15,042 10/21 15,122 20,270 12,393 14,706 11,794 21,122 10/22 12,891 16,225 10,450 13,041 10,020 17,219 10/23 13,314 17,929 10,487 13,816 9,938 19,024 10/24 15,848 23,808 11,593 15,858 11,074 25,431 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 19.04% 5.58% 5.20% Class A (including sales charge ) Footnote Reference 13.71% 4.61% 4.71% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index 14.77% 4.23% 4.72% Bloomberg U.S. Mortgage-Backed Securities Index 11.44% - 1.03% MSCI World Index - USD Net Returns 33.68% 12.03% 9.78% |
AssetsNet | $ 418,196,708 |
Holdings Count | Holding | 1,950 |
Advisory Fees Paid, Amount | $ 2,269,915 |
InvestmentCompanyPortfolioTurnover | 77% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $418,196,708 1,950 77% $2,269,915 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Long-Term Fixed Income 46.4% Common Stock 33.0% Registered Investments Companies 12.2% Short-Term Investments 7.6% Preferred Stock 0.8% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core International Equity Fund 6.8% Thrivent Core Emerging Markets Debt Fund 5.0% NVIDIA Corporation 1.4% Microsoft Corporation 1.2% Apple, Inc. 1.2% Federal National Mortgage Association Conventional 30-Yr. Pass Through 1.1% U.S. Treasury Bonds 0.9% U.S. Treasury Notes 0.8% Alphabet, Inc., Class C 0.8% Meta Platforms, Inc. 0.8% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Fund no longer invested in leveraged loans or compared its performance to the Morningstar LSTA US Leveraged Loan Index. Effective January 1, 2024, the Adviser implemented a contractual agreement with the Fund, through at least February 28, 2025, to waive a portion of the management fees associated with the Class A shares to limit the Total Annual Fund Operating Expenses After Fee Waivers and/or Expense Reimbursements to an annual rate of 0.97% from the previous annual rate of 0.99% of the average daily net assets of the Class A shares. |
C000002056 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Balanced Income Plus Fund |
Class Name | S |
Trading Symbol | IBBFX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Balanced Income Plus Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B89"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $83 0.75% |
Expenses Paid, Amount | $ 83 |
Expense Ratio, Percent | 0.75% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Balanced Income Plus Fund (Class S), earned a return of 19.36%, outperforming its peer group, the Morningstar Moderately Conservative Allocation category which returned 18.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index Bloomberg U.S. Mortgage-Backed Securities Index MSCI World Index - USD Net Returns 10/14 10,000 10,000 10,000 10,000 10,000 10,000 10/15 10,258 9,997 10,196 9,944 10,252 10,177 10/16 10,597 10,201 10,641 10,802 10,588 10,298 10/17 11,772 12,568 10,737 11,660 10,644 12,643 10/18 11,926 12,503 10,517 11,695 10,483 12,789 10/19 12,871 14,078 11,727 12,893 11,412 14,413 10/20 13,112 14,766 12,453 13,480 11,863 15,042 10/21 16,202 20,270 12,393 14,706 11,794 21,122 10/22 13,844 16,225 10,450 13,041 10,020 17,219 10/23 14,323 17,929 10,487 13,816 9,938 19,024 10/24 17,096 23,808 11,593 15,858 11,074 25,431 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 19.36% 5.84% 5.51% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index 14.77% 4.23% 4.72% Bloomberg U.S. Mortgage-Backed Securities Index 11.44% - 1.03% MSCI World Index - USD Net Returns 33.68% 12.03% 9.78% |
AssetsNet | $ 418,196,708 |
Holdings Count | Holding | 1,950 |
Advisory Fees Paid, Amount | $ 2,269,915 |
InvestmentCompanyPortfolioTurnover | 77% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $418,196,708 1,950 77% $2,269,915 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Long-Term Fixed Income 46.4% Common Stock 33.0% Registered Investments Companies 12.2% Short-Term Investments 7.6% Preferred Stock 0.8% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core International Equity Fund 6.8% Thrivent Core Emerging Markets Debt Fund 5.0% NVIDIA Corporation 1.4% Microsoft Corporation 1.2% Apple, Inc. 1.2% Federal National Mortgage Association Conventional 30-Yr. Pass Through 1.1% U.S. Treasury Bonds 0.9% U.S. Treasury Notes 0.8% Alphabet, Inc., Class C 0.8% Meta Platforms, Inc. 0.8% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Fund no longer invested in leveraged loans or compared its performance to the Morningstar LSTA US Leveraged Loan Index. |
C000003642 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Global Stock Fund |
Class Name | A |
Trading Symbol | AALGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Global Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B112"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $110 0.95% |
Expenses Paid, Amount | $ 110 |
Expense Ratio, Percent | 0.95% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Global Stock Fund (Class A), earned a return of 30.91%, outperforming its peer group, the Morningstar Global Large-Stock Blend category which returned 28.85%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns 10/14 9,550 10,000 10/15 9,988 9,997 10/16 9,841 10,201 10/17 12,066 12,568 10/18 12,092 12,503 10/19 13,027 14,078 10/20 13,389 14,766 10/21 18,916 20,270 10/22 15,036 16,225 10/23 16,289 17,929 10/24 21,325 23,808 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 30.91% 10.36% 8.36% Class A (including sales charge ) Footnote Reference 25.02% 9.35% 7.87% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% |
AssetsNet | $ 2,097,363,996 |
Holdings Count | Holding | 1,144 |
Advisory Fees Paid, Amount | $ 11,088,973 |
InvestmentCompanyPortfolioTurnover | 58% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,097,363,996 1,144 58% $11,088,973 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 79.9% Short-Term Investments 14.5% Registered Investments Companies 5.5% Preferred Stock 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Equity Fund 2.7% NVIDIA Corporation 2.0% Thrivent Core Small Cap Value Fund 1.9% Microsoft Corporation 1.8% Apple, Inc. 1.6% Alphabet, Inc., Class C 1.6% Meta Platforms, Inc. 1.4% Amazon.com, Inc. 1.2% Novartis AG 0.7% Shell plc 0.7% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003644 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Global Stock Fund |
Class Name | S |
Trading Symbol | IILGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Global Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B136"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $74 0.64% |
Expenses Paid, Amount | $ 74 |
Expense Ratio, Percent | 0.64% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Global Stock Fund (Class S), earned a return of 31.31%, outperforming its peer group, the Morningstar Global Large-Stock Blend category which returned 28.85%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns 10/14 10,000 10,000 10/15 10,502 9,997 10/16 10,389 10,201 10/17 12,785 12,568 10/18 12,856 12,503 10/19 13,900 14,078 10/20 14,342 14,766 10/21 20,318 20,270 10/22 16,206 16,225 10/23 17,620 17,929 10/24 23,137 23,808 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 31.31% 10.73% 8.75% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% |
AssetsNet | $ 2,097,363,996 |
Holdings Count | Holding | 1,144 |
Advisory Fees Paid, Amount | $ 11,088,973 |
InvestmentCompanyPortfolioTurnover | 58% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,097,363,996 1,144 58% $11,088,973 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 79.9% Short-Term Investments 14.5% Registered Investments Companies 5.5% Preferred Stock 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Equity Fund 2.7% NVIDIA Corporation 2.0% Thrivent Core Small Cap Value Fund 1.9% Microsoft Corporation 1.8% Apple, Inc. 1.6% Alphabet, Inc., Class C 1.6% Meta Platforms, Inc. 1.4% Amazon.com, Inc. 1.2% Novartis AG 0.7% Shell plc 0.7% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective October 17, 2024, shareholders of Thrivent Low Volatility Equity Fund approved the merger of that fund into Thrivent Opportunity Global Stock Fund. The merger occurred at the close of business on October 24, 2024. Effective October 25, 2024, the Adviser implemented a contractual agreement with the Fund, through at least February 28, 2026, to waive a portion of the management fees associated with the Class S shares to limit the Total Annual Fund Operating Expenses After Fee Waivers and/or Expense Reimbursements to an annual rate of 0.66% of the average daily net assets of the Class S shares. As of the prior fiscal year end, the Fund did not have an operating expense cap. |
C000088463 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Government Bond Fund |
Class Name | A |
Trading Symbol | TBFAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Government Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B160"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $82 0.78% |
Expenses Paid, Amount | $ 82 |
Expense Ratio, Percent | 0.78% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Government Bond Fund (Class A), earned a return of 9.96%, outperforming its peer group, the Morningstar Intermediate Government category which returned 9.46%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Treasury Index Bloomberg U.S. Agency Index 10/14 9,800 10,000 10,000 10,000 10/15 9,980 10,196 10,239 10,207 10/16 10,315 10,641 10,579 10,454 10/17 10,258 10,737 10,505 10,510 10/18 10,054 10,517 10,299 10,434 10/19 10,942 11,727 11,440 11,307 10/20 11,573 12,453 12,235 11,852 10/21 11,399 12,393 11,935 11,756 10/22 9,954 10,450 10,253 10,656 10/23 9,812 10,487 10,189 10,945 10/24 10,789 11,593 11,047 11,714 |
AssetsNet | $ 34,137,045 |
Holdings Count | Holding | 68 |
Advisory Fees Paid, Amount | $ 211,367 |
InvestmentCompanyPortfolioTurnover | 379% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $34,137,045 68 379% $211,367 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Mortgage-Backed Securities 38.6% U.S. Government & Agencies 33.3% Collateralized Mortgage Obligations 12.8% Asset-Backed Securities 8.1% Commercial Mortgage-Backed Securities 6.0% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 3.5 D 0.0 C 0.0 CA 0.0 CAA 0.0 B 0.0 BA 0.0 BAA 0.0 A 0.0 AA 4.0 AAA 1.3 U.S. Gov't Guaranteed 91.2 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 10.3% U.S. Treasury Notes 10.2% U.S. Treasury Notes 5.2% Federal National Mortgage Association Conventional 30-Yr. Pass Through 5.0% U.S. Treasury Bonds 3.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 3.6% Federal Home Loan Bank 2.8% Federal National Mortgage Association Conventional 30-Yr. Pass Through 2.3% Federal National Mortgage Association Conventional 30-Yr. Pass Through 2.2% Federal National Mortgage Association Conventional 10-Yr. Pass Through 2.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Adviser implemented a contractual agreement with the Fund, through at least February 28, 2025, to waive a portion of the management fees associated with the Class A shares to limit the Total Annual Fund Operating Expenses After Fee Waivers and/or Expense Reimbursements to an annual rate of 0.80% from the previous annual rate of 0.75% of the average daily net assets of the Class A shares. |
C000088464 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Government Bond Fund |
Class Name | S |
Trading Symbol | TBFIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Government Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B183"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $55 0.52% |
Expenses Paid, Amount | $ 55 |
Expense Ratio, Percent | 0.52% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Government Bond Fund (Class S), earned a return of 10.25%, outperforming its peer group, the Morningstar Intermediate Government category which returned 9.46%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Treasury Index Bloomberg U.S. Agency Index 10/14 10,000 10,000 10,000 10,000 10/15 10,217 10,196 10,239 10,207 10/16 10,566 10,641 10,579 10,454 10/17 10,516 10,737 10,505 10,510 10/18 10,318 10,517 10,299 10,434 10/19 11,241 11,727 11,440 11,307 10/20 11,902 12,453 12,235 11,852 10/21 11,758 12,393 11,935 11,756 10/22 10,276 10,450 10,253 10,656 10/23 10,152 10,487 10,189 10,945 10/24 11,192 11,593 11,047 11,714 |
AssetsNet | $ 34,137,045 |
Holdings Count | Holding | 68 |
Advisory Fees Paid, Amount | $ 211,367 |
InvestmentCompanyPortfolioTurnover | 379% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $34,137,045 68 379% $211,367 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Mortgage-Backed Securities 38.6% U.S. Government & Agencies 33.3% Collateralized Mortgage Obligations 12.8% Asset-Backed Securities 8.1% Commercial Mortgage-Backed Securities 6.0% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 3.5 D 0.0 C 0.0 CA 0.0 CAA 0.0 B 0.0 BA 0.0 BAA 0.0 A 0.0 AA 4.0 AAA 1.3 U.S. Gov't Guaranteed 91.2 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 10.3% U.S. Treasury Notes 10.2% U.S. Treasury Notes 5.2% Federal National Mortgage Association Conventional 30-Yr. Pass Through 5.0% U.S. Treasury Bonds 3.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 3.6% Federal Home Loan Bank 2.8% Federal National Mortgage Association Conventional 30-Yr. Pass Through 2.3% Federal National Mortgage Association Conventional 30-Yr. Pass Through 2.2% Federal National Mortgage Association Conventional 10-Yr. Pass Through 2.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000198645 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent High Income Municipal Bond Fund |
Class Name | S |
Trading Symbol | THMBX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent High Income Municipal Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B206"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $65 0.60% |
Expenses Paid, Amount | $ 65 |
Expense Ratio, Percent | 0.60% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, High Income Municipal Bond Fund (Class S), earned a return of 17.26%, outperforming its peer group, the Morningstar High Yield Muni category which returned 15.30%. The Fund’s broad-based benchmark Bloomberg Municipal Bond Index earned a return of 9.70% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg Municipal Bond Index Bloomberg 65% High Grade/35% High Yield Bond Index 02/18 10,000 10,000 10,000 10/18 10,079 10,047 10,171 10/19 11,239 10,993 11,208 10/20 11,176 11,388 11,528 10/21 12,239 11,688 12,150 10/22 9,925 10,288 10,502 10/23 10,258 10,560 10,829 10/24 12,029 11,584 12,168 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year Since Inception 2/28/2018 Class S Footnote Reference 17.26% 1.37% 2.81% Bloomberg Municipal Bond Index 9.70% 1.05% 2.23% Bloomberg 65% High Grade/35% High Yield Bond Index 12.37% 1.66% 2.98% |
AssetsNet | $ 45,467,573 |
Holdings Count | Holding | 189 |
Advisory Fees Paid, Amount | $ 196,322 |
InvestmentCompanyPortfolioTurnover | 75% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $45,467,573 189 75% $196,322 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Education 26.3% Health Care 17.9% Tax Revenue 15.9% Transportation 12.6% Industrial Development Revenue 9.2% Housing Finance 5.7% Other Revenue 3.8% Water & Sewer 3.5% General Obligation 2.9% Electric Revenue 0.7% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 30.9 D 0.0 C 0.0 CA 0.0 CAA 0.0 B 0.6 BA 14.2 BAA 33.8 A 10.6 AA 7.9 AAA 2.0 U.S. Gov't Guaranteed 0.0 |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003614 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent High Yield Fund |
Class Name | A |
Trading Symbol | LBHYX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent High Yield Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B229"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $87 0.81% |
Expenses Paid, Amount | $ 87 |
Expense Ratio, Percent | 0.81% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, High Yield Fund (Class A), earned a return of 13.95%, underperforming its peer group, the Morningstar High Yield Bond category which returned 14.83%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Corporate High Yield Bond Index 10/14 9,550 10,000 10,000 10/15 9,477 10,196 9,806 10/16 10,050 10,641 10,800 10/17 10,897 10,737 11,763 10/18 10,865 10,517 11,878 10/19 11,706 11,727 12,874 10/20 11,687 12,453 13,323 10/21 12,696 12,393 14,726 10/22 11,335 10,450 12,994 10/23 11,898 10,487 13,804 10/24 13,557 11,593 16,078 |
AssetsNet | $ 633,405,687 |
Holdings Count | Holding | 592 |
Advisory Fees Paid, Amount | $ 2,548,315 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $633,405,687 592 54% $2,548,315 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Consumer Cyclical 16.8% Communications Services 12.8% Energy 12.7% Financials 12.4% Consumer Non-Cyclical 11.5% Capital Goods 9.9% Technology 6.9% Basic Materials 5.6% Utilities 3.8% Transportation 2.4% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 2.2 Non-Rated 0.1 D 0.0 C 0.4 CA 0.5 CAA 9.2 B 49.1 BA 36.2 BAA 2.3 A 0.0 AA 0.0 AAA 0.0 U.S. Gov't Guaranteed 0.0 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) iShares Broad USD High Yield Corporate Bond ETF 2.2% Caesars Entertainment, Inc. 0.7% DIRECTV Financing, LLC/DIRECTV Financing Co-Obligor, Inc. 0.6% Teva Pharmaceutical Finance Netherlands III BV 0.6% EQM Midstream Partners, LP 0.6% GFL Environmental, Inc. 0.5% Tenet Healthcare Corporation 0.5% CCO Holdings, LLC/CCO Holdings Capital Corporation 0.5% Iron Mountain, Inc. 0.5% Viking Cruises, Ltd. 0.5% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003616 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent High Yield Fund |
Class Name | S |
Trading Symbol | LBHIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent High Yield Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B252"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $58 0.54% |
Expenses Paid, Amount | $ 58 |
Expense Ratio, Percent | 0.54% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, High Yield Fund (Class S), earned a return of 14.25%, underperforming its peer group, the Morningstar High Yield Bond category which returned 14.83%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Corporate High Yield Bond Index 10/14 10,000 10,000 10,000 10/15 9,934 10,196 9,806 10/16 10,563 10,641 10,800 10/17 11,480 10,737 11,763 10/18 11,496 10,517 11,878 10/19 12,392 11,727 12,874 10/20 12,405 12,453 13,323 10/21 13,540 12,393 14,726 10/22 12,124 10,450 12,994 10/23 12,729 10,487 13,804 10/24 14,543 11,593 16,078 |
AssetsNet | $ 633,405,687 |
Holdings Count | Holding | 592 |
Advisory Fees Paid, Amount | $ 2,548,315 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $633,405,687 592 54% $2,548,315 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Consumer Cyclical 16.8% Communications Services 12.8% Energy 12.7% Financials 12.4% Consumer Non-Cyclical 11.5% Capital Goods 9.9% Technology 6.9% Basic Materials 5.6% Utilities 3.8% Transportation 2.4% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 2.2 Non-Rated 0.1 D 0.0 C 0.4 CA 0.5 CAA 9.2 B 49.1 BA 36.2 BAA 2.3 A 0.0 AA 0.0 AAA 0.0 U.S. Gov't Guaranteed 0.0 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) iShares Broad USD High Yield Corporate Bond ETF 2.2% Caesars Entertainment, Inc. 0.7% DIRECTV Financing, LLC/DIRECTV Financing Co-Obligor, Inc. 0.6% Teva Pharmaceutical Finance Netherlands III BV 0.6% EQM Midstream Partners, LP 0.6% GFL Environmental, Inc. 0.5% Tenet Healthcare Corporation 0.5% CCO Holdings, LLC/CCO Holdings Capital Corporation 0.5% Iron Mountain, Inc. 0.5% Viking Cruises, Ltd. 0.5% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003634 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Income Fund |
Class Name | A |
Trading Symbol | LUBIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Income Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B275"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $81 0.76% |
Expenses Paid, Amount | $ 81 |
Expense Ratio, Percent | 0.76% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Income Fund (Class A), earned a return of 13.91%, outperforming its peer group, the Morningstar Corporate Bond category which returned 13.36%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Corporate Bond Index 10/14 9,550 10,000 10,000 10/15 9,612 10,196 10,105 10/16 10,249 10,641 10,836 10/17 10,590 10,737 11,211 10/18 10,303 10,517 10,873 10/19 11,687 11,727 12,543 10/20 12,598 12,453 13,428 10/21 13,005 12,393 13,721 10/22 10,467 10,450 11,035 10/23 10,762 10,487 11,341 10/24 12,259 11,593 12,887 |
AssetsNet | $ 1,119,636,446 |
Holdings Count | Holding | 593 |
Advisory Fees Paid, Amount | $ 3,435,272 |
InvestmentCompanyPortfolioTurnover | 45% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,119,636,446 593 45% $3,435,272 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Financials 34.4% Consumer Non-Cyclical 8.7% Utilities 8.3% Consumer Cyclical 8.2% Communications Services 7.7% Energy 6.9% Technology 6.5% U.S. Government & Agencies 6.0% Capital Goods 5.2% Transportation 2.0% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 0.4 D 0.0 C 0.0 CA 0.0 CAA 0.3 B 0.4 BA 8.9 BAA 57.0 A 23.1 AA 3.0 AAA 0.1 U.S. Gov't Guaranteed 6.8 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 1.9% U.S. Treasury Notes 1.2% U.S. Treasury Bonds 1.1% U.S. Treasury Bonds 0.8% Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 0.6% UBS Group AG 0.6% Sprint Capital Corporation 0.6% Cheniere Energy Partners, LP 0.4% ONEOK, Inc. 0.4% UBS Group AG 0.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003636 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Income Fund |
Class Name | S |
Trading Symbol | LBIIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Income Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B298"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $50 0.47% |
Expenses Paid, Amount | $ 50 |
Expense Ratio, Percent | 0.47% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Income Fund (Class S), earned a return of 14.23%, outperforming its peer group, the Morningstar Corporate Bond category which returned 13.36%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. Corporate Bond Index 10/14 10,000 10,000 10,000 10/15 10,091 10,196 10,105 10/16 10,794 10,641 10,836 10/17 11,190 10,737 11,211 10/18 10,932 10,517 10,873 10/19 12,425 11,727 12,543 10/20 13,432 12,453 13,428 10/21 13,904 12,393 13,721 10/22 11,235 10,450 11,035 10/23 11,586 10,487 11,341 10/24 13,235 11,593 12,887 |
AssetsNet | $ 1,119,636,446 |
Holdings Count | Holding | 593 |
Advisory Fees Paid, Amount | $ 3,435,272 |
InvestmentCompanyPortfolioTurnover | 45% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,119,636,446 593 45% $3,435,272 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Financials 34.4% Consumer Non-Cyclical 8.7% Utilities 8.3% Consumer Cyclical 8.2% Communications Services 7.7% Energy 6.9% Technology 6.5% U.S. Government & Agencies 6.0% Capital Goods 5.2% Transportation 2.0% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 0.4 D 0.0 C 0.0 CA 0.0 CAA 0.3 B 0.4 BA 8.9 BAA 57.0 A 23.1 AA 3.0 AAA 0.1 U.S. Gov't Guaranteed 6.8 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 1.9% U.S. Treasury Notes 1.2% U.S. Treasury Bonds 1.1% U.S. Treasury Bonds 0.8% Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 0.6% UBS Group AG 0.6% Sprint Capital Corporation 0.6% Cheniere Energy Partners, LP 0.4% ONEOK, Inc. 0.4% UBS Group AG 0.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000058555 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent International Allocation Fund |
Class Name | A |
Trading Symbol | TWAAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent International Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B321"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $130 1.17% |
Expenses Paid, Amount | $ 130 |
Expense Ratio, Percent | 1.17% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, International Allocation Fund (Class A), earned a return of 22.10%, underperforming its peer group, the Morningstar Foreign Large Blend category which returned 22.46%. The Fund’s broad-based benchmark MSCI All Country World Index ex-USA - USD Net Returns earned a return of 24.33% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index ex-USA - USD Net Returns 10/14 9,550 10,000 10/15 9,346 9,532 10/16 9,553 9,553 10/17 11,440 11,812 10/18 10,236 10,838 10/19 11,194 12,059 10/20 10,276 11,745 10/21 13,822 15,228 10/22 10,328 11,463 10/23 11,556 12,847 10/24 14,110 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 22.10% 4.74% 3.98% Class A (including sales charge ) Footnote Reference 16.60% 3.78% 3.51% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 774,781,362 |
Holdings Count | Holding | 966 |
Advisory Fees Paid, Amount | $ 5,167,933 |
InvestmentCompanyPortfolioTurnover | 89% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $774,781,362 966 89% $5,167,933 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 96.7% Short-Term Investments 2.8% Preferred Stock 0.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Shell plc 2.2% Novartis AG 2.2% Allianz SE 1.7% AstraZeneca plc 1.7% ASML Holding NV 1.4% Roche Holding AG, Participation Certificates 1.3% Ferrari NV 1.3% Deutsche Boerse AG 1.2% ABB, Ltd. 1.2% Compass Group plc 1.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000058556 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent International Allocation Fund |
Class Name | S |
Trading Symbol | TWAIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent International Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B344"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $89 0.80% |
Expenses Paid, Amount | $ 89 |
Expense Ratio, Percent | 0.80% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, International Allocation Fund (Class S), earned a return of 22.60%, outperforming its peer group, the Morningstar Foreign Large Blend category which returned 22.46%. The Fund’s broad-based benchmark MSCI All Country World Index ex-USA - USD Net Returns earned a return of 24.33% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index ex-USA - USD Net Returns 10/14 10,000 10,000 10/15 9,823 9,532 10/16 10,079 9,553 10/17 12,117 11,812 10/18 10,890 10,838 10/19 11,961 12,059 10/20 11,017 11,745 10/21 14,870 15,228 10/22 11,168 11,463 10/23 12,525 12,847 10/24 15,355 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 22.60% 5.12% 4.38% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 774,781,362 |
Holdings Count | Holding | 966 |
Advisory Fees Paid, Amount | $ 5,167,933 |
InvestmentCompanyPortfolioTurnover | 89% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $774,781,362 966 89% $5,167,933 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 96.7% Short-Term Investments 2.8% Preferred Stock 0.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Shell plc 2.2% Novartis AG 2.2% Allianz SE 1.7% AstraZeneca plc 1.7% ASML Holding NV 1.4% Roche Holding AG, Participation Certificates 1.3% Ferrari NV 1.3% Deutsche Boerse AG 1.2% ABB, Ltd. 1.2% Compass Group plc 1.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003637 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Large Cap Growth Fund |
Class Name | A |
Trading Symbol | AAAGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Large Cap Growth Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B368"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $123 1.01% |
Expenses Paid, Amount | $ 123 |
Expense Ratio, Percent | 1.01% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Large Cap Growth Fund (Class A), earned a return of 43.36%, outperforming its peer group, the Morningstar Large Growth category which returned 41.44%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Russell 3000 ® Russell 1000 ® S&P 500 Growth Index 10/14 9,550 10,000 10,000 10,000 10/15 10,659 10,449 10,918 10,923 10/16 10,177 10,892 11,167 11,214 10/17 12,725 13,504 14,485 14,187 10/18 14,426 14,395 16,037 15,811 10/19 16,315 16,337 18,779 18,069 10/20 21,685 17,994 24,264 22,486 10/21 30,604 25,895 34,751 32,612 10/22 20,861 21,620 26,200 24,646 10/23 25,366 23,431 31,167 27,579 10/24 36,364 32,303 44,804 39,624 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 43.36% 17.39% 14.31% Class A (including sales charge ) Footnote Reference 36.91% 16.31% 13.78% Russell 3000 ® 37.86% 14.60% 12.44% Russell 1000 ® 43.77% 19.00% 16.18% S&P 500 Growth Index 43.67% 17.01% 14.76% |
AssetsNet | $ 3,154,228,783 |
Holdings Count | Holding | 49 |
Advisory Fees Paid, Amount | $ 17,769,151 |
InvestmentCompanyPortfolioTurnover | 44% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,154,228,783 49 44% $17,769,151 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.5% Short-Term Investments 2.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) NVIDIA Corporation 10.1% Microsoft Corporation 9.2% Apple, Inc. 8.2% Alphabet, Inc., Class C 6.6% Amazon.com, Inc. 6.1% Meta Platforms, Inc. 5.5% ServiceNow, Inc. 2.6% Visa, Inc. 2.5% Eli Lilly & Company 2.4% Tesla, Inc. 2.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Adviser implemented a contractual agreement with the Fund, through at least February 28, 2025, to waive a portion of the management fees associated with the Class A shares to limit the Total Annual Fund Operating Expenses After Fee Waivers and/or Expense Reimbursements to an annual rate of 1.04% of the average daily net assets of the Class A shares. As of the prior fiscal year end, the Fund did not have an operating expense cap. |
C000003639 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Large Cap Growth Fund |
Class Name | S |
Trading Symbol | THLCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Large Cap Growth Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B391"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $90 0.74% |
Expenses Paid, Amount | $ 90 |
Expense Ratio, Percent | 0.74% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Large Cap Growth Fund (Class S), earned a return of 43.73%, outperforming its peer group, the Morningstar Large Growth category which returned 41.44%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® Russell 1000 ® S&P 500 Growth Index 10/14 10,000 10,000 10,000 10,000 10/15 11,212 10,449 10,918 10,923 10/16 10,735 10,892 11,167 11,214 10/17 13,482 13,504 14,485 14,187 10/18 15,329 14,395 16,037 15,811 10/19 17,397 16,337 18,779 18,069 10/20 23,206 17,994 24,264 22,486 10/21 32,865 25,895 34,751 32,612 10/22 22,465 21,620 26,200 24,646 10/23 27,401 23,431 31,167 27,579 10/24 39,382 32,303 44,804 39,624 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 43.73% 17.75% 14.69% Russell 3000 ® 37.86% 14.60% 12.44% Russell 1000 ® 43.77% 19.00% 16.18% S&P 500 Growth Index 43.67% 17.01% 14.76% |
AssetsNet | $ 3,154,228,783 |
Holdings Count | Holding | 49 |
Advisory Fees Paid, Amount | $ 17,769,151 |
InvestmentCompanyPortfolioTurnover | 44% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,154,228,783 49 44% $17,769,151 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.5% Short-Term Investments 2.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) NVIDIA Corporation 10.1% Microsoft Corporation 9.2% Apple, Inc. 8.2% Alphabet, Inc., Class C 6.6% Amazon.com, Inc. 6.1% Meta Platforms, Inc. 5.5% ServiceNow, Inc. 2.6% Visa, Inc. 2.5% Eli Lilly & Company 2.4% Tesla, Inc. 2.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003645 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Large Cap Value Fund |
Class Name | A |
Trading Symbol | AAUTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Large Cap Value Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B414"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $96 0.84% |
Expenses Paid, Amount | $ 96 |
Expense Ratio, Percent | 0.84% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Large Cap Value Fund (Class A), earned a return of 29.47%, underperforming its peer group, the Morningstar Large Value category which returned 29.70%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Russell 3000 ® Russell 1000 ® S&P 500 Value Index 10/14 9,550 10,000 10,000 10,000 10/15 9,659 10,449 10,053 10,081 10/16 10,032 10,892 10,693 10,729 10/17 12,215 13,504 12,595 12,834 10/18 12,878 14,395 12,977 13,221 10/19 13,679 16,337 14,432 15,132 10/20 12,598 17,994 13,341 14,060 10/21 19,513 25,895 19,173 19,810 10/22 18,754 21,620 17,830 19,086 10/23 18,840 23,431 17,853 20,554 10/24 24,393 32,303 23,381 27,069 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 29.47% 12.27% 9.83% Class A (including sales charge ) Footnote Reference 23.66% 11.24% 9.33% Russell 3000 ® 37.86% 14.60% 12.44% Russell 1000 ® 30.98% 10.14% 8.87% S&P 500 Value Index 31.70% 12.34% 10.47% |
AssetsNet | $ 2,526,213,230 |
Holdings Count | Holding | 87 |
Advisory Fees Paid, Amount | $ 10,345,986 |
InvestmentCompanyPortfolioTurnover | 29% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,526,213,230 87 29% $10,345,986 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.5% Short-Term Investments 2.0% Registered Investments Companies 0.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Wells Fargo & Company 2.9% Exxon Mobil Corporation 2.9% Philip Morris International, Inc. 2.5% Bank of America Corporation 2.5% Johnson & Johnson 2.3% J.P. Morgan Chase & Company 2.2% Cisco Systems, Inc. 2.0% Entergy Corporation 1.9% Verizon Communications, Inc. 1.9% Walmart, Inc. 1.7% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003647 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Large Cap Value Fund |
Class Name | S |
Trading Symbol | TLVIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Large Cap Value Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B437"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $64 0.56% |
Expenses Paid, Amount | $ 64 |
Expense Ratio, Percent | 0.56% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Large Cap Value Fund (Class S), earned a return of 29.86%, outperforming its peer group, the Morningstar Large Value category which returned 29.70%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® Russell 1000 ® S&P 500 Value Index 10/14 10,000 10,000 10,000 10,000 10/15 10,155 10,449 10,053 10,081 10/16 10,591 10,892 10,693 10,729 10/17 12,943 13,504 12,595 12,834 10/18 13,700 14,395 12,977 13,221 10/19 14,605 16,337 14,432 15,132 10/20 13,494 17,994 13,341 14,060 10/21 20,973 25,895 19,173 19,810 10/22 20,217 21,620 17,830 19,086 10/23 20,369 23,431 17,853 20,554 10/24 26,451 32,303 23,381 27,069 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 29.86% 12.61% 10.22% Russell 3000 ® 37.86% 14.60% 12.44% Russell 1000 ® 30.98% 10.14% 8.87% S&P 500 Value Index 31.70% 12.34% 10.47% |
AssetsNet | $ 2,526,213,230 |
Holdings Count | Holding | 87 |
Advisory Fees Paid, Amount | $ 10,345,986 |
InvestmentCompanyPortfolioTurnover | 29% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $2,526,213,230 87 29% $10,345,986 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.5% Short-Term Investments 2.0% Registered Investments Companies 0.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Wells Fargo & Company 2.9% Exxon Mobil Corporation 2.9% Philip Morris International, Inc. 2.5% Bank of America Corporation 2.5% Johnson & Johnson 2.3% J.P. Morgan Chase & Company 2.2% Cisco Systems, Inc. 2.0% Entergy Corporation 1.9% Verizon Communications, Inc. 1.9% Walmart, Inc. 1.7% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003648 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Limited Maturity Bond Fund |
Class Name | A |
Trading Symbol | LBLAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Limited Maturity Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B460"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $61 0.59% |
Expenses Paid, Amount | $ 61 |
Expense Ratio, Percent | 0.59% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Limited Maturity Bond Fund (Class A), earned a return of 8.10%, outperforming its peer group, the Morningstar Short-Term Bond category which returned 8.04%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg Government/Credit 1-3 Year Bond Index 10/14 10,000 10,000 10,000 10/15 10,089 10,196 10,087 10/16 10,333 10,641 10,219 10/17 10,518 10,737 10,288 10/18 10,588 10,517 10,323 10/19 11,055 11,727 10,828 10/20 11,408 12,453 11,194 10/21 11,541 12,393 11,189 10/22 10,822 10,450 10,643 10/23 11,338 10,487 10,986 10/24 12,256 11,593 11,672 |
AssetsNet | $ 1,346,830,846 |
Holdings Count | Holding | 630 |
Advisory Fees Paid, Amount | $ 3,591,930 |
InvestmentCompanyPortfolioTurnover | 64% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,346,830,846 630 64% $3,591,930 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Financials 32.0% Asset-Backed Securities 17.1% Collateralized Mortgage Obligations 10.2% U.S. Government & Agencies 6.7% Consumer Non-Cyclical 5.5% Consumer Cyclical 5.5% Energy 4.7% Utilities 4.1% Technology 3.0% Communications Services 2.9% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 12.2 D 0.0 C 0.1 CA 0.0 CAA 0.2 B 0.1 BA 4.6 BAA 39.7 A 17.6 AA 5.8 AAA 11.6 U.S. Gov't Guaranteed 8.1 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 4.1% U.S. Treasury Notes 1.3% U.S. Treasury Notes 1.3% Avis Budget Rental Car Funding AESOP, LLC 0.5% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.5% PPM CLO 2, Ltd. 0.5% Federal National Mortgage Association - REMIC 0.4% AMSR Trust 0.4% OneMain Financial Issuance Trust 0.4% Madison Park Funding XXXIX, Ltd. 0.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003650 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Limited Maturity Bond Fund |
Class Name | S |
Trading Symbol | THLIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Limited Maturity Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B483"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $45 0.43% |
Expenses Paid, Amount | $ 45 |
Expense Ratio, Percent | 0.43% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Limited Maturity Bond Fund (Class S), earned a return of 8.26%, outperforming its peer group, the Morningstar Short-Term Bond category which returned 8.04%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg Government/Credit 1-3 Year Bond Index 10/14 10,000 10,000 10,000 10/15 10,105 10,196 10,087 10/16 10,380 10,641 10,219 10/17 10,578 10,737 10,288 10/18 10,678 10,517 10,323 10/19 11,159 11,727 10,828 10/20 11,544 12,453 11,194 10/21 11,695 12,393 11,189 10/22 10,975 10,450 10,643 10/23 11,525 10,487 10,986 10/24 12,477 11,593 11,672 |
AssetsNet | $ 1,346,830,846 |
Holdings Count | Holding | 630 |
Advisory Fees Paid, Amount | $ 3,591,930 |
InvestmentCompanyPortfolioTurnover | 64% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,346,830,846 630 64% $3,591,930 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Financials 32.0% Asset-Backed Securities 17.1% Collateralized Mortgage Obligations 10.2% U.S. Government & Agencies 6.7% Consumer Non-Cyclical 5.5% Consumer Cyclical 5.5% Energy 4.7% Utilities 4.1% Technology 3.0% Communications Services 2.9% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 12.2 D 0.0 C 0.1 CA 0.0 CAA 0.2 B 0.1 BA 4.6 BAA 39.7 A 17.6 AA 5.8 AAA 11.6 U.S. Gov't Guaranteed 8.1 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Treasury Notes 4.1% U.S. Treasury Notes 1.3% U.S. Treasury Notes 1.3% Avis Budget Rental Car Funding AESOP, LLC 0.5% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.5% PPM CLO 2, Ltd. 0.5% Federal National Mortgage Association - REMIC 0.4% AMSR Trust 0.4% OneMain Financial Issuance Trust 0.4% Madison Park Funding XXXIX, Ltd. 0.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000217755 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Mid Cap Growth Fund |
Class Name | S |
Trading Symbol | TMCGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Mid Cap Growth Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B506"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $103 0.90% |
Expenses Paid, Amount | $ 103 |
Expense Ratio, Percent | 0.90% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Mid Cap Growth Fund (Class S), earned a return of 28.31%, underperforming its peer group, the Morningstar Mid-Cap Growth category which returned 34.27%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® Russell Midcap ® S&P MidCap 400 Growth Index 02/20 10,000 10,000 10,000 10,000 10/20 12,650 11,246 12,137 11,344 10/21 17,851 16,183 16,922 16,075 10/22 12,470 13,512 12,025 13,162 10/23 12,194 14,644 12,428 13,298 10/24 15,646 20,188 17,234 17,720 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year Since Inception 2/28/2020 Class S Footnote Reference 28.31% 10.04% Russell 3000 ® 37.86% 16.20% Russell Midcap ® 38.67% 12.34% S&P MidCap 400 Growth Index 33.26% 13.01% |
AssetsNet | $ 33,720,540 |
Holdings Count | Holding | 87 |
Advisory Fees Paid, Amount | $ 239,513 |
InvestmentCompanyPortfolioTurnover | 64% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $33,720,540 87 64% $239,513 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.3% Short-Term Investments 2.2% Registered Investments Companies 0.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Howmet Aerospace, Inc. 2.1% Monolithic Power Systems, Inc. 1.7% Amphenol Corporation 1.7% ExlService Holdings, Inc. 1.6% PTC, Inc. 1.6% TPG, Inc. 1.6% Waste Connections, Inc. 1.5% HubSpot, Inc. 1.5% EMCOR Group, Inc. 1.4% Trade Desk, Inc. 1.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003596 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Mid Cap Stock Fund |
Class Name | A |
Trading Symbol | AASCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Mid Cap Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B529"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $110 0.96% |
Expenses Paid, Amount | $ 110 |
Expense Ratio, Percent | 0.96% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Mid Cap Stock Fund (Class A), earned a return of 28.01%, underperforming its peer group, the Morningstar Mid-Cap Blend category which returned 32.68%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Russell 3000 ® S&P MidCap 400 ® Russell Midcap ® 10/14 9,550 10,000 10,000 10,000 10/15 9,894 10,449 10,342 10,277 10/16 11,173 10,892 10,989 10,705 10/17 14,036 13,504 13,569 12,963 10/18 14,608 14,395 13,708 13,325 10/19 15,614 16,337 14,944 15,153 10/20 16,563 17,994 14,772 15,777 10/21 25,356 25,895 21,996 22,939 10/22 21,394 21,620 19,458 19,000 10/23 20,479 23,431 19,251 18,811 10/24 26,215 32,303 25,602 25,473 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 28.01% 10.92% 10.63% Class A (including sales charge ) Footnote Reference 22.25% 9.90% 10.12% Russell 3000 ® 37.86% 14.60% 12.44% S&P MidCap 400 ® 32.99% 11.37% 9.86% Russell Midcap ® 35.40% 10.94% 9.80% |
AssetsNet | $ 3,958,881,498 |
Holdings Count | Holding | 59 |
Advisory Fees Paid, Amount | $ 23,990,904 |
InvestmentCompanyPortfolioTurnover | 42% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,958,881,498 59 42% $23,990,904 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.3% Short-Term Investments 2.7% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) United Rentals, Inc. 3.7% NVR, Inc. 3.7% Steel Dynamics, Inc. 2.9% SBA Communications Corporation 2.9% Trimble, Inc. 2.8% Advanced Drainage Systems, Inc. 2.6% DocuSign, Inc. 2.4% Fastenal Company 2.4% Expand Energy Corporation 2.4% Kinsale Capital Group, Inc. 2.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003598 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Mid Cap Stock Fund |
Class Name | S |
Trading Symbol | TMSIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Mid Cap Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B552"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $84 0.74% |
Expenses Paid, Amount | $ 84 |
Expense Ratio, Percent | 0.74% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Mid Cap Stock Fund (Class S), earned a return of 28.27%, underperforming its peer group, the Morningstar Mid-Cap Blend category which returned 32.68%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® S&P MidCap 400 ® Russell Midcap ® 10/14 10,000 10,000 10,000 10,000 10/15 10,405 10,449 10,342 10,277 10/16 11,795 10,892 10,989 10,705 10/17 14,866 13,504 13,569 12,963 10/18 15,514 14,395 13,708 13,325 10/19 16,638 16,337 14,944 15,153 10/20 17,697 17,994 14,772 15,777 10/21 27,148 25,895 21,996 22,939 10/22 22,963 21,620 19,458 19,000 10/23 22,032 23,431 19,251 18,811 10/24 28,260 32,303 25,602 25,473 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 28.27% 11.18% 10.95% Russell 3000 ® 37.86% 14.60% 12.44% S&P MidCap 400 ® 32.99% 11.37% 9.86% Russell Midcap ® 35.40% 10.94% 9.80% |
AssetsNet | $ 3,958,881,498 |
Holdings Count | Holding | 59 |
Advisory Fees Paid, Amount | $ 23,990,904 |
InvestmentCompanyPortfolioTurnover | 42% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,958,881,498 59 42% $23,990,904 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 97.3% Short-Term Investments 2.7% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) United Rentals, Inc. 3.7% NVR, Inc. 3.7% Steel Dynamics, Inc. 2.9% SBA Communications Corporation 2.9% Trimble, Inc. 2.8% Advanced Drainage Systems, Inc. 2.6% DocuSign, Inc. 2.4% Fastenal Company 2.4% Expand Energy Corporation 2.4% Kinsale Capital Group, Inc. 2.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000217756 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Mid Cap Value Fund |
Class Name | S |
Trading Symbol | TMCVX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Mid Cap Value Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B575"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $103 0.90% |
Expenses Paid, Amount | $ 103 |
Expense Ratio, Percent | 0.90% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Mid Cap Value Fund (Class S), earned a return of 28.45%, underperforming its peer group, the Morningstar Mid-Cap Value category which returned 29.65%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® Russell Midcap ® S&P MidCap 400 Value Index 02/20 10,000 10,000 10,000 10,000 10/20 10,200 11,246 9,958 9,739 10/21 16,257 16,183 14,797 15,303 10/22 15,818 13,512 13,291 14,565 10/23 15,438 14,644 12,817 14,074 10/24 19,830 20,188 17,181 18,682 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year Since Inception 2/28/2020 Class S Footnote Reference 28.45% 15.76% Russell 3000 ® 37.86% 16.20% Russell Midcap ® 34.03% 12.27% S&P MidCap 400 Value Index 32.74% 14.30% |
AssetsNet | $ 39,738,696 |
Holdings Count | Holding | 77 |
Advisory Fees Paid, Amount | $ 295,238 |
InvestmentCompanyPortfolioTurnover | 61% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $39,738,696 77 61% $295,238 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 99.0% Short-Term Investments 1.0% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) U.S. Bancorp 2.4% Carlyle Group, Inc. 2.3% Imax Corporation 2.1% United Airlines Holdings, Inc. 2.1% M&T Bank Corporation 1.9% Healthcare Realty Trust, Inc. 1.9% NiSource, Inc. 1.9% Nucor Corporation 1.8% Allstate Corporation 1.8% MKS Instruments, Inc. 1.8% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003599 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderate Allocation Fund |
Class Name | A |
Trading Symbol | THMAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderate Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B598"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $86 0.77% |
Expenses Paid, Amount | $ 86 |
Expense Ratio, Percent | 0.77% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderate Allocation Fund (Class A), earned a return of 24.90%, outperforming its peer group, the Morningstar Moderate Allocation category which returned 22.70%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 9,550 10,000 10,000 10,000 10,000 10/15 9,742 9,997 10,520 10,196 9,532 10/16 10,032 10,201 10,994 10,641 9,553 10/17 11,344 12,568 13,593 10,737 11,812 10/18 11,402 12,503 14,591 10,517 10,838 10/19 12,581 14,078 16,681 11,727 12,059 10/20 13,356 14,766 18,301 12,453 11,745 10/21 16,399 20,270 26,155 12,393 15,228 10/22 13,687 16,225 22,334 10,450 11,463 10/23 14,250 17,929 24,599 10,487 12,847 10/24 17,810 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 24.90% 7.20% 6.43% Class A (including sales charge ) Footnote Reference 19.33% 6.21% 5.95% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 3,800,684,942 |
Holdings Count | Holding | 2,154 |
Advisory Fees Paid, Amount | $ 22,334,253 |
InvestmentCompanyPortfolioTurnover | 50% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,800,684,942 2,154 50% $22,334,253 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 30.9% Investment Grade Debt 27.1% Mid Cap 13.9% Short-Term Investments 13.4% International 5.7% Small Cap 4.1% High Yield 2.6% Emerging Markets Debt 1.4% Private Equity 0.8% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 10.5% Thrivent Large Cap Value Fund, Class S 9.5% Thrivent Mid Cap Stock Fund, Class S 4.0% Thrivent International Allocation Fund, Class S 3.9% Thrivent Income Fund, Class S 3.4% Thrivent Global Stock Fund, Class S 2.3% Thrivent Limited Maturity Bond Fund, Class S 1.9% Thrivent Core Emerging Markets Debt Fund 1.6% Thrivent Small Cap Stock Fund, Class S 1.4% Thrivent High Yield Fund, Class S 1.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003600 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderate Allocation Fund |
Class Name | S |
Trading Symbol | TMAIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderate Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B621"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $60 0.54% |
Expenses Paid, Amount | $ 60 |
Expense Ratio, Percent | 0.54% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderate Allocation Fund (Class S), earned a return of 25.17%, outperforming its peer group, the Morningstar Moderate Allocation category which returned 22.70%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 10,000 10,000 10,000 10,000 10,000 10/15 10,236 9,997 10,520 10,196 9,532 10/16 10,575 10,201 10,994 10,641 9,553 10/17 11,996 12,568 13,593 10,737 11,812 10/18 12,088 12,503 14,591 10,517 10,838 10/19 13,366 14,078 16,681 11,727 12,059 10/20 14,222 14,766 18,301 12,453 11,745 10/21 17,503 20,270 26,155 12,393 15,228 10/22 14,641 16,225 22,334 10,450 11,463 10/23 15,276 17,929 24,599 10,487 12,847 10/24 19,136 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 25.17% 7.44% 6.71% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 3,800,684,942 |
Holdings Count | Holding | 2,154 |
Advisory Fees Paid, Amount | $ 22,334,253 |
InvestmentCompanyPortfolioTurnover | 50% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,800,684,942 2,154 50% $22,334,253 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 30.9% Investment Grade Debt 27.1% Mid Cap 13.9% Short-Term Investments 13.4% International 5.7% Small Cap 4.1% High Yield 2.6% Emerging Markets Debt 1.4% Private Equity 0.8% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 10.5% Thrivent Large Cap Value Fund, Class S 9.5% Thrivent Mid Cap Stock Fund, Class S 4.0% Thrivent International Allocation Fund, Class S 3.9% Thrivent Income Fund, Class S 3.4% Thrivent Global Stock Fund, Class S 2.3% Thrivent Limited Maturity Bond Fund, Class S 1.9% Thrivent Core Emerging Markets Debt Fund 1.6% Thrivent Small Cap Stock Fund, Class S 1.4% Thrivent High Yield Fund, Class S 1.2% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003601 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderately Aggressive Allocation Fund |
Class Name | A |
Trading Symbol | TMAAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderately Aggressive Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B644"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $90 0.79% |
Expenses Paid, Amount | $ 90 |
Expense Ratio, Percent | 0.79% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderately Aggressive Allocation Fund (Class A), earned a return of 27.26%, outperforming its peer group, the Morningstar Moderately Aggressive Allocation category which returned 25.81%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 9,550 10,000 10,000 10,000 10,000 10/15 9,773 9,997 10,520 10,196 9,532 10/16 10,004 10,201 10,994 10,641 9,553 10/17 11,825 12,568 13,593 10,737 11,812 10/18 11,987 12,503 14,591 10,517 10,838 10/19 13,228 14,078 16,681 11,727 12,059 10/20 13,992 14,766 18,301 12,453 11,745 10/21 18,064 20,270 26,155 12,393 15,228 10/22 14,875 16,225 22,334 10,450 11,463 10/23 15,524 17,929 24,599 10,487 12,847 10/24 19,769 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 27.26% 8.37% 7.55% Class A (including sales charge ) Footnote Reference 21.61% 7.37% 7.05% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 4,736,812,040 |
Holdings Count | Holding | 2,137 |
Advisory Fees Paid, Amount | $ 29,137,096 |
InvestmentCompanyPortfolioTurnover | 38% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $4,736,812,040 2,137 38% $29,137,096 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 33.2% Mid Cap 18.0% Investment Grade Debt 14.4% Short-Term Investments 13.8% International 11.2% Small Cap 6.7% High Yield 1.2% Private Equity 0.8% Emerging Markets Debt 0.6% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 10.7% Thrivent Large Cap Value Fund, Class S 8.9% Thrivent International Allocation Fund, Class S 6.2% Thrivent Mid Cap Stock Fund, Class S 5.7% Thrivent Global Stock Fund, Class S 4.8% Thrivent Core International Equity Fund 2.6% Thrivent Small Cap Stock Fund, Class S 1.7% Thrivent Core Emerging Markets Equity Fund 1.5% Thrivent Income Fund, Class S 1.5% Thrivent Core Mid Cap Value Fund 1.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003602 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderately Aggressive Allocation Fund |
Class Name | S |
Trading Symbol | TMAFX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderately Aggressive Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B667"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $65 0.58% |
Expenses Paid, Amount | $ 65 |
Expense Ratio, Percent | 0.58% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderately Aggressive Allocation Fund (Class S), earned a return of 27.53%, outperforming its peer group, the Morningstar Moderately Aggressive Allocation category which returned 25.81%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 10,000 10,000 10,000 10,000 10,000 10/15 10,275 9,997 10,520 10,196 9,532 10/16 10,548 10,201 10,994 10,641 9,553 10/17 12,498 12,568 13,593 10,737 11,812 10/18 12,699 12,503 14,591 10,517 10,838 10/19 14,048 14,078 16,681 11,727 12,059 10/20 14,891 14,766 18,301 12,453 11,745 10/21 19,258 20,270 26,155 12,393 15,228 10/22 15,894 16,225 22,334 10,450 11,463 10/23 16,626 17,929 24,599 10,487 12,847 10/24 21,219 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 27.53% 8.60% 7.81% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 4,736,812,040 |
Holdings Count | Holding | 2,137 |
Advisory Fees Paid, Amount | $ 29,137,096 |
InvestmentCompanyPortfolioTurnover | 38% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $4,736,812,040 2,137 38% $29,137,096 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Large Cap 33.2% Mid Cap 18.0% Investment Grade Debt 14.4% Short-Term Investments 13.8% International 11.2% Small Cap 6.7% High Yield 1.2% Private Equity 0.8% Emerging Markets Debt 0.6% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Growth Fund, Class S 10.7% Thrivent Large Cap Value Fund, Class S 8.9% Thrivent International Allocation Fund, Class S 6.2% Thrivent Mid Cap Stock Fund, Class S 5.7% Thrivent Global Stock Fund, Class S 4.8% Thrivent Core International Equity Fund 2.6% Thrivent Small Cap Stock Fund, Class S 1.7% Thrivent Core Emerging Markets Equity Fund 1.5% Thrivent Income Fund, Class S 1.5% Thrivent Core Mid Cap Value Fund 1.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003603 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderately Conservative Allocation Fund |
Class Name | A |
Trading Symbol | TCAAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderately Conservative Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B691"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $89 0.81% |
Expenses Paid, Amount | $ 89 |
Expense Ratio, Percent | 0.81% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderately Conservative Allocation Fund (Class A), earned a return of 19.33%, outperforming its peer group, the Morningstar Moderately Conservative Allocation category which returned 18.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 9,550 10,000 10,000 10,000 10,000 10/15 9,676 9,997 10,520 10,196 9,532 10/16 10,029 10,201 10,994 10,641 9,553 10/17 10,901 12,568 13,593 10,737 11,812 10/18 10,852 12,503 14,591 10,517 10,838 10/19 11,947 14,078 16,681 11,727 12,059 10/20 12,599 14,766 18,301 12,453 11,745 10/21 14,249 20,270 26,155 12,393 15,228 10/22 11,969 16,225 22,334 10,450 11,463 10/23 12,284 17,929 24,599 10,487 12,847 10/24 14,659 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 19.33% 4.18% 4.38% Class A (including sales charge ) Footnote Reference 13.96% 3.22% 3.90% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 1,117,440,900 |
Holdings Count | Holding | 2,080 |
Advisory Fees Paid, Amount | $ 6,486,294 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,117,440,900 2,080 54% $6,486,294 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Investment Grade Debt 44.8% Large Cap 18.4% Short-Term Investments 13.0% Mid Cap 9.3% International 4.6% High Yield 4.5% Emerging Markets Debt 2.5% Small Cap 2.3% Private Equity 0.5% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Value Fund, Class S 10.1% Thrivent Large Cap Growth Fund, Class S 6.4% Thrivent Income Fund, Class S 6.2% Thrivent Limited Maturity Bond Fund, Class S 3.6% Thrivent Core Emerging Markets Debt Fund 2.9% Thrivent Mid Cap Stock Fund, Class S 2.3% Thrivent International Allocation Fund, Class S 2.3% Thrivent High Yield Fund, Class S 2.1% U.S. Treasury Notes 1.8% Thrivent Core International Equity Fund 1.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective December 31, 2023, the Fund no longer invested in leveraged loans as part of its principal investment strategy and Leveraged Loan Risk is no longer a principal risk factor. |
C000003604 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Moderately Conservative Allocation Fund |
Class Name | S |
Trading Symbol | TCAIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Moderately Conservative Allocation Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B715"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $62 0.57% |
Expenses Paid, Amount | $ 62 |
Expense Ratio, Percent | 0.57% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Moderately Conservative Allocation Fund (Class S), earned a return of 19.75%, outperforming its peer group, the Morningstar Moderately Conservative Allocation category which returned 18.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 32.79% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference MSCI All Country World Index - USD Net Returns S&P 500 ® Bloomberg U.S. Aggregate Bond Index MSCI All Country World Index ex-USA - USD Net Returns 10/14 10,000 10,000 10,000 10,000 10,000 10/15 10,166 9,997 10,520 10,196 9,532 10/16 10,578 10,201 10,994 10,641 9,553 10/17 11,526 12,568 13,593 10,737 11,812 10/18 11,505 12,503 14,591 10,517 10,838 10/19 12,694 14,078 16,681 11,727 12,059 10/20 13,417 14,766 18,301 12,453 11,745 10/21 15,215 20,270 26,155 12,393 15,228 10/22 12,810 16,225 22,334 10,450 11,463 10/23 13,167 17,929 24,599 10,487 12,847 10/24 15,767 23,808 33,950 11,593 15,972 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 19.64% 4.43% 4.66% MSCI All Country World Index - USD Net Returns 32.79% 11.08% 9.06% S&P 500 ® 38.02% 15.27% 13.00% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% MSCI All Country World Index ex-USA - USD Net Returns 24.33% 5.78% 4.79% |
AssetsNet | $ 1,117,440,900 |
Holdings Count | Holding | 2,080 |
Advisory Fees Paid, Amount | $ 6,486,294 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,117,440,900 2,080 54% $6,486,294 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Investment Grade Debt 44.8% Large Cap 18.4% Short-Term Investments 13.0% Mid Cap 9.3% International 4.6% High Yield 4.5% Emerging Markets Debt 2.5% Small Cap 2.3% Private Equity 0.5% Multi-Cap 0.1% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Large Cap Value Fund, Class S 10.1% Thrivent Large Cap Growth Fund, Class S 6.4% Thrivent Income Fund, Class S 6.2% Thrivent Limited Maturity Bond Fund, Class S 3.6% Thrivent Core Emerging Markets Debt Fund 2.9% Thrivent Mid Cap Stock Fund, Class S 2.3% Thrivent International Allocation Fund, Class S 2.3% Thrivent High Yield Fund, Class S 2.1% U.S. Treasury Notes 1.8% Thrivent Core International Equity Fund 1.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective December 31, 2023, the Fund no longer invested in leveraged loans as part of its principal investment strategy and Leveraged Loan Risk is no longer a principal risk factor. |
C000003605 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Money Market Fund |
Class Name | A |
Trading Symbol | AMMXX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Money Market Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B739"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $34 0.33% |
Expenses Paid, Amount | $ 34 |
Expense Ratio, Percent | 0.33% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Money Market Fund (Class A), earned a return of 5.15%, outperforming its peer group, the Morningstar Money Market-Taxable category which returned 4.81%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. |
Line Graph [Table Text Block] | Class A Footnote Reference Bloomberg U.S. Aggregate Bond Index 10/14 10,000 10,000 10/15 10,000 10,196 10/16 10,000 10,641 10/17 10,003 10,737 10/18 10,116 10,517 10/19 10,306 11,727 10/20 10,359 12,453 10/21 10,359 12,393 10/22 10,422 10,450 10/23 10,896 10,487 10/24 11,457 11,593 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A Footnote Reference 5.15% 2.14% 1.37% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% |
AssetsNet | $ 2,844,805,333 |
Holdings Count | Holding | 156 |
Advisory Fees Paid, Amount | $ 5,756,278 |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Advisory Fees Paid $2,844,805,333 156 $5,756,278 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value U.S. Government Agency Debt (if categorized as coupon-paying notes) 49.2% U.S. Treasury Debt 29.0% Investment Company 9.1% U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash 8.3% U.S. Government Agency Debt (if categorized as no-coupon discount notes) 4.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective October 31,2024 Other Funds Risk was added as a principal risk factor for the fund since more than 5% of the Fund’s net assets were invested in unaffiliated registered investment companies. |
C000003607 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Money Market Fund |
Class Name | S |
Trading Symbol | AALXX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Money Market Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B761"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $34 0.33% |
Expenses Paid, Amount | $ 34 |
Expense Ratio, Percent | 0.33% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Money Market Fund (Class S), earned a return of 5.14%, outperforming its peer group, the Morningstar Money Market-Taxable category which returned 4.81%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index 10/14 10,000 10,000 10/15 10,000 10,196 10/16 10,000 10,641 10/17 10,031 10,737 10/18 10,161 10,517 10/19 10,361 11,727 10/20 10,419 12,453 10/21 10,419 12,393 10/22 10,488 10,450 10/23 10,967 10,487 10/24 11,531 11,593 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 5.14% 2.16% 1.43% Bloomberg U.S. Aggregate Bond Index 10.55% - 1.49% |
AssetsNet | $ 2,844,805,333 |
Holdings Count | Holding | 156 |
Advisory Fees Paid, Amount | $ 5,756,278 |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Advisory Fees Paid $2,844,805,333 156 $5,756,278 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value U.S. Government Agency Debt (if categorized as coupon-paying notes) 49.2% U.S. Treasury Debt 29.0% Investment Company 9.1% U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash 8.3% U.S. Government Agency Debt (if categorized as no-coupon discount notes) 4.4% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective October 31,2024 Other Funds Risk was added as a principal risk factor for the fund since more than 5% of the Fund’s net assets were invested in unaffiliated registered investment companies. |
C000003608 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Municipal Bond Fund |
Class Name | A |
Trading Symbol | AAMBX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Municipal Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B782"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $81 0.76% |
Expenses Paid, Amount | $ 81 |
Expense Ratio, Percent | 0.76% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Municipal Bond Fund (Class A), earned a return of 13.07%, outperforming its peer group, the Morningstar Muni National Long category which returned 12.94%. The Fund’s broad-based benchmark Bloomberg Municipal Bond Index earned a return of 9.70% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Bloomberg Municipal Bond Index 10/14 9,550 10,000 10/15 9,813 10,287 10/16 10,184 10,704 10/17 10,301 10,939 10/18 10,190 10,883 10/19 11,083 11,908 10/20 11,357 12,336 10/21 11,757 12,661 10/22 10,065 11,144 10/23 10,174 11,439 10/24 11,504 12,548 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 13.07% 0.75% 1.88% Class A (including sales charge ) Footnote Reference 8.01% - 1.41% Bloomberg Municipal Bond Index 9.70% 1.05% 2.30% |
AssetsNet | $ 1,207,072,627 |
Holdings Count | Holding | 516 |
Advisory Fees Paid, Amount | $ 5,060,359 |
InvestmentCompanyPortfolioTurnover | 28% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,207,072,627 516 28% $5,060,359 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Transportation 25.5% Health Care 21.7% Education 18.9% Water & Sewer 7.0% General Obligation 5.8% Tax Revenue 5.6% Other Revenue 5.4% Electric Revenue 2.9% Industrial Development Revenue 2.5% Housing Finance 2.4% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 3.8 D 0.0 C 0.0 CA 0.0 CAA 0.0 B 0.0 BA 2.3 BAA 21.2 A 25.9 AA 40.0 AAA 6.8 U.S. Gov't Guaranteed 0.0 |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003610 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Municipal Bond Fund |
Class Name | S |
Trading Symbol | TMBIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Municipal Bond Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B805"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $54 0.51% |
Expenses Paid, Amount | $ 54 |
Expense Ratio, Percent | 0.51% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Municipal Bond Fund (Class S), earned a return of 13.36%, outperforming its peer group, the Morningstar Muni National Long category which returned 12.94%. The Fund’s broad-based benchmark Bloomberg Municipal Bond Index earned a return of 9.70% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg Municipal Bond Index 10/14 10,000 10,000 10/15 10,301 10,287 10/16 10,717 10,704 10/17 10,866 10,939 10/18 10,774 10,883 10/19 11,741 11,908 10/20 12,056 12,336 10/21 12,506 12,661 10/22 10,727 11,144 10/23 10,869 11,439 10/24 12,321 12,548 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 13.36% 0.97% 2.11% Bloomberg Municipal Bond Index 9.70% 1.05% 2.30% |
AssetsNet | $ 1,207,072,627 |
Holdings Count | Holding | 516 |
Advisory Fees Paid, Amount | $ 5,060,359 |
InvestmentCompanyPortfolioTurnover | 28% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $1,207,072,627 516 28% $5,060,359 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Transportation 25.5% Health Care 21.7% Education 18.9% Water & Sewer 7.0% General Obligation 5.8% Tax Revenue 5.6% Other Revenue 5.4% Electric Revenue 2.9% Industrial Development Revenue 2.5% Housing Finance 2.4% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 0.0 Non-Rated 3.8 D 0.0 C 0.0 CA 0.0 CAA 0.0 B 0.0 BA 2.3 BAA 21.2 A 25.9 AA 40.0 AAA 6.8 U.S. Gov't Guaranteed 0.0 |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000002058 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Opportunity Income Plus Fund |
Class Name | A |
Trading Symbol | AAINX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Opportunity Income Plus Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B829"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $94 0.89% |
Expenses Paid, Amount | $ 94 |
Expense Ratio, Percent | 0.89% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Opportunity Income Plus Fund (Class A), earned a return of 12.39%, underperforming its peer group, the Morningstar Multisector Bond category which returned 12.90%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index Bloomberg U.S. Mortgage-Backed Securities Index 10/14 9,550 10,000 10,000 10,000 10/15 9,595 10,196 9,944 10,252 10/16 10,132 10,641 10,802 10,588 10/17 10,554 10,737 11,660 10,644 10/18 10,586 10,517 11,695 10,483 10/19 11,175 11,727 12,893 11,412 10/20 11,380 12,453 13,480 11,863 10/21 11,879 12,393 14,706 11,794 10/22 10,418 10,450 13,041 10,020 10/23 10,774 10,487 13,816 9,938 10/24 12,109 11,593 15,858 11,074 |
AssetsNet | $ 841,010,906 |
Holdings Count | Holding | 1,693 |
Advisory Fees Paid, Amount | $ 3,260,530 |
InvestmentCompanyPortfolioTurnover | 107% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $841,010,906 1,693 107% $3,260,530 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Asset-Backed Securities 13.3% Financials 12.8% Mortgage-Backed Securities 10.8% Collateralized Mortgage Obligations 9.5% U.S. Affiliated Registered Investment Companies 8.9% U.S. Government & Agencies 5.5% Consumer Cyclical 5.3% U.S. Unaffiliated Registered Investment Companies 5.2% Consumer Non-Cyclical 4.7% Energy 4.2% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 4.7 Non-Rated 15.2 D 0.2 C 0.0 CA 0.2 CAA 1.8 B 13.3 BA 13.9 BAA 17.1 A 9.3 AA 6.0 AAA 2.4 U.S. Gov't Guaranteed 15.9 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Debt Fund 8.9% U.S. Treasury Notes 2.7% Vanguard Intermediate-Term Corporate Bond ETF 1.3% Dryden 109 CLO, Ltd. 1.1% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% iShares iBoxx $ Investment Grade Corporate Bond ETF 0.7% U.S. Treasury Notes 0.7% U.S. Treasury Notes 0.6% iShares Broad USD High Yield Corporate Bond ETF 0.6% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.6% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Fund no longer invested in leveraged loans or compared its performance to the Morningstar LSTA US Leveraged Loan Index. Effective October 31,2024 Portfolio Turnover Rate Risk was added as a principal risk factor for the fund since the Fund’s portfolio turnover rate was greater than 100% for the fiscal year ended. |
C000002059 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Opportunity Income Plus Fund |
Class Name | S |
Trading Symbol | IIINX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Opportunity Income Plus Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the period. |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B853"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $67 0.63% |
Expenses Paid, Amount | $ 67 |
Expense Ratio, Percent | 0.63% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Opportunity Income Plus Fund (Class S), earned a return of 12.67%, underperforming its peer group, the Morningstar Multisector Bond category which returned 12.90%. The Fund’s broad-based benchmark Bloomberg U.S. Aggregate Bond Index earned a return of 10.55% over the same period. The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Bloomberg U.S. Aggregate Bond Index Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index Bloomberg U.S. Mortgage-Backed Securities Index 10/14 10,000 10,000 10,000 10,000 10/15 10,069 10,196 9,944 10,252 10/16 10,657 10,641 10,802 10,588 10/17 11,127 10,737 11,660 10,644 10/18 11,188 10,517 11,695 10,483 10/19 11,842 11,727 12,893 11,412 10/20 12,091 12,453 13,480 11,863 10/21 12,654 12,393 14,706 11,794 10/22 11,127 10,450 13,041 10,020 10/23 11,536 10,487 13,816 9,938 10/24 12,998 11,593 15,858 11,074 |
AssetsNet | $ 841,010,906 |
Holdings Count | Holding | 1,693 |
Advisory Fees Paid, Amount | $ 3,260,530 |
InvestmentCompanyPortfolioTurnover | 107% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $841,010,906 1,693 107% $3,260,530 |
Holdings [Text Block] | Major Market Sectors (% of Net Assets) Asset-Backed Securities 13.3% Financials 12.8% Mortgage-Backed Securities 10.8% Collateralized Mortgage Obligations 9.5% U.S. Affiliated Registered Investment Companies 8.9% U.S. Government & Agencies 5.5% Consumer Cyclical 5.3% U.S. Unaffiliated Registered Investment Companies 5.2% Consumer Non-Cyclical 4.7% Energy 4.2% |
Credit Ratings Selection [Text Block] | Bond Quality Ratings Value Value ETFs/Closed-End Funds 4.7 Non-Rated 15.2 D 0.2 C 0.0 CA 0.2 CAA 1.8 B 13.3 BA 13.9 BAA 17.1 A 9.3 AA 6.0 AAA 2.4 U.S. Gov't Guaranteed 15.9 |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Debt Fund 8.9% U.S. Treasury Notes 2.7% Vanguard Intermediate-Term Corporate Bond ETF 1.3% Dryden 109 CLO, Ltd. 1.1% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% iShares iBoxx $ Investment Grade Corporate Bond ETF 0.7% U.S. Treasury Notes 0.7% U.S. Treasury Notes 0.6% iShares Broad USD High Yield Corporate Bond ETF 0.6% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.6% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . Effective February 29, 2024, the Fund no longer invested in leveraged loans or compared its performance to the Morningstar LSTA US Leveraged Loan Index. Effective October 31,2024 Portfolio Turnover Rate Risk was added as a principal risk factor for the fund since the Fund’s portfolio turnover rate was greater than 100% for the fiscal year ended. Effective August 1, 2024, shareholders of Thrivent Multidimensional Income Fund approved the merger of that fund into Thrivent Opportunity Income Plus Fund. The merger occurred at the close of business on August 16, 2024. |
C000198646 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Small Cap Growth Fund |
Class Name | S |
Trading Symbol | TSCGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Small Cap Growth Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B876"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $109 0.95% |
Expenses Paid, Amount | $ 109 |
Expense Ratio, Percent | 0.95% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Small Cap Growth Fund (Class S), earned a return of 30.16%, underperforming its peer group, the Morningstar Small Growth category which returned 34.09%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® Russell 2000 ® S&P SmallCap 600 Growth Index 02/18 10,000 10,000 10,000 10,000 10/18 10,570 10,103 10,017 10,632 10/19 11,102 11,465 10,658 10,926 10/20 15,191 12,629 12,083 10,898 10/21 21,502 18,173 16,728 16,629 10/22 16,519 15,173 12,376 13,857 10/23 14,691 16,444 11,432 13,090 10/24 19,121 22,670 15,602 17,121 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year Since Inception 2/28/2018 Class S Footnote Reference 30.16% 11.49% 10.20% Russell 3000 ® 37.86% 14.60% 13.04% Russell 2000 ® 36.49% 7.92% 6.89% S&P SmallCap 600 Growth Index 30.79% 9.40% 8.39% |
AssetsNet | $ 225,051,957 |
Holdings Count | Holding | 86 |
Advisory Fees Paid, Amount | $ 1,821,083 |
InvestmentCompanyPortfolioTurnover | 67% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $225,051,957 86 67% $1,821,083 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 98.3% Short-Term Investments 1.7% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Guidewire Software, Inc. 2.4% Triumph Financial, Inc. 2.1% ExlService Holdings, Inc. 2.1% Texas Roadhouse, Inc. 2.0% J & J Snack Foods Corporation 1.9% Cargurus, Inc. 1.9% Globus Medical, Inc. 1.8% Fabrinet 1.8% HealthEquity, Inc. 1.7% Penumbra, Inc. 1.7% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003627 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Small Cap Stock Fund |
Class Name | A |
Trading Symbol | AASMX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Small Cap Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B899"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class A $117 1.01% |
Expenses Paid, Amount | $ 117 |
Expense Ratio, Percent | 1.01% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Small Cap Stock Fund (Class A), earned a return of 32.04%, outperforming its peer group, the Morningstar Small Blend category which returned 30.66%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class A (including sales charge ) Footnote Reference Russell 3000 ® S&P SmallCap 600 ® Russell 2000 ® 10/14 9,550 10,000 10,000 10,000 10/15 9,676 10,449 10,285 10,034 10/16 10,229 10,892 10,938 10,446 10/17 13,793 13,504 13,992 13,355 10/18 14,411 14,395 14,776 13,603 10/19 15,209 16,337 15,254 14,270 10/20 15,554 17,994 14,077 14,249 10/21 24,478 25,895 22,374 21,486 10/22 22,238 21,620 19,730 17,502 10/23 20,564 23,431 18,220 16,004 10/24 27,152 32,303 23,686 21,458 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 32.04% 12.29% 11.01% Class A (including sales charge ) Footnote Reference 26.10% 11.26% 10.50% Russell 3000 ® 37.86% 14.60% 12.44% S&P SmallCap 600 ® 30.00% 9.20% 9.01% Russell 2000 ® 34.08% 8.50% 7.94% |
AssetsNet | $ 3,281,172,154 |
Holdings Count | Holding | 98 |
Advisory Fees Paid, Amount | $ 18,119,687 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,281,172,154 98 54% $18,119,687 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 96.5% Short-Term Investments 3.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) TTM Technologies, Inc. 2.1% RLI Corporation 1.9% National Storage Affiliates Trust 1.8% Air Lease Corporation 1.7% SharkNinja, Inc. 1.7% Kinsale Capital Group, Inc. 1.7% Cogent Communications Holdings 1.7% Dayforce, Inc. 1.6% Badger Infrastructure Solutions, Ltd. 1.6% Houlihan Lokey, Inc. 1.5% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |
C000003629 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Small Cap Stock Fund |
Class Name | S |
Trading Symbol | TSCSX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Small Cap Stock Fund (the Fund) for the 12 months ended October 31, 2024. |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information Phone Number | 800-847-4836 |
Additional Information Website | <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span>" id="sjs-B922"><span style="text-decoration: underline solid rgb(0, 0, 0); box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.thriventmutualfunds.com/prospectus</span></span> |
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Share Class Cost of a $10K Investment Cost Paid as a % of a $10K Investment Class S $91 0.78% |
Expenses Paid, Amount | $ 91 |
Expense Ratio, Percent | 0.78% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended October 31, 2024, Small Cap Stock Fund (Class S), earned a return of 32.34%, outperforming its peer group, the Morningstar Small Blend category which returned 30.66%. The Fund’s broad-based benchmark Russell 3000 ® The key factors that contributed to the Fund 's performance over the past 12 months include: |
Line Graph [Table Text Block] | Class S Footnote Reference Russell 3000 ® S&P SmallCap 600 ® Russell 2000 ® 10/14 10,000 10,000 10,000 10,000 10/15 10,186 10,449 10,285 10,034 10/16 10,809 10,892 10,938 10,446 10/17 14,629 13,504 13,992 13,355 10/18 15,325 14,395 14,776 13,603 10/19 16,224 16,337 15,254 14,270 10/20 16,641 17,994 14,077 14,249 10/21 26,254 25,895 22,374 21,486 10/22 23,913 21,620 19,730 17,502 10/23 22,169 23,431 18,220 16,004 10/24 29,338 32,303 23,686 21,458 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 Year 5 year 10 year Class S Footnote Reference 32.34% 12.58% 11.36% Russell 3000 ® 37.86% 14.60% 12.44% S&P SmallCap 600 ® 30.00% 9.20% 9.01% Russell 2000 ® 34.08% 8.50% 7.94% |
AssetsNet | $ 3,281,172,154 |
Holdings Count | Holding | 98 |
Advisory Fees Paid, Amount | $ 18,119,687 |
InvestmentCompanyPortfolioTurnover | 54% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $3,281,172,154 98 54% $18,119,687 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Common Stock 96.5% Short-Term Investments 3.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) TTM Technologies, Inc. 2.1% RLI Corporation 1.9% National Storage Affiliates Trust 1.8% Air Lease Corporation 1.7% SharkNinja, Inc. 1.7% Kinsale Capital Group, Inc. 1.7% Cogent Communications Holdings 1.7% Dayforce, Inc. 1.6% Badger Infrastructure Solutions, Ltd. 1.6% Houlihan Lokey, Inc. 1.5% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since October 31, 2023 . For more complete information, you may review the Fund's next prospectus which will be available at thriventmutualfunds.com/prospectus or upon request at 800-847-4836 . There were no material changes noted for the Fund that need to be disclosed for the year ended October 31, 2024. |