Shareholder Report | 12 Months Ended |
Dec. 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 | Dec. 31, 2024 |
C000003588 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Diversified Income Plus Fund |
Class Name | A |
Trading Symbol | AAHYX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Diversified Income Plus Fund (the Fund) for the 12 months ended December 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 $96 0.93% |
Expenses Paid, Amount | $ 96 |
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 December 31, 2024, Diversified Income Plus Fund (excluding sales charge), earned a return of 6.81%, outperforming the average return of its peer group, the Morningstar Conservative Allocation category which returned 5.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 17.49% 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 max sales charge ) Footnote Reference 1 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 12/14 9,550 10,000 10,000 10,000 10,000 10,000 12/15 9,491 9,764 10,055 9,728 10,151 9,913 12/16 10,127 10,531 10,321 11,099 10,321 10,657 12/17 11,037 13,056 10,687 11,867 10,577 13,045 12/18 10,694 11,827 10,688 11,644 10,682 11,908 12/19 12,097 14,973 11,620 13,412 11,360 15,203 12/20 12,904 17,406 12,492 14,440 11,800 17,621 12/21 13,707 20,633 12,299 15,111 11,677 21,465 12/22 11,975 16,844 10,699 13,513 10,298 17,571 12/23 13,130 20,584 11,291 15,210 10,817 21,751 12/24 14,025 24,183 11,432 16,239 10,947 25,812 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 year 5 year 10 year Class A (excluding sales charge ) Footnote Reference 1 6.81% 3.00% 3.92% Class A (including max sales charge ) Footnote Reference 1 2.06% 2.06% 3.45% MSCI All Country World Index - USD Net Returns 17.49% 10.06% 9.23% Bloomberg U.S. Aggregate Bond Index 1.25% - 1.35% Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index 6.77% 3.90% 4.97% Bloomberg U.S. Mortgage-Backed Securities Index 1.20% - 0.91% MSCI World Index - USD Net Returns 18.67% 11.17% 9.95% |
AssetsNet | $ 975,807,380 |
Holdings Count | Holding | 1,957 |
Advisory Fees Paid, Amount | $ 5,213,972 |
InvestmentCompanyPortfolioTurnover | 50% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $975,807,380 1,957 50% $5,213,972 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Long-Term Fixed Income 68.9% Common Stock 14.8% Registered Investments Companies 9.9% Short-Term Investments 4.9% Preferred Stock 1.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Debt Fund 7.9% U.S. Treasury Notes 3.0% U.S. Treasury Notes 1.6% Federal National Mortgage Association Conventional 30-Yr. Pass Through 1.6% U.S. Treasury Notes 1.2% Thrivent Core International Equity Fund 1.1% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 0.9% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since December 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 December 31, 2024. |
C000003590 | |
Shareholder Report [Line Items] | |
Fund Name | Thrivent Diversified Income Plus Fund |
Class Name | S |
Trading Symbol | THYFX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the Thrivent Diversified Income Plus Fund (the Fund) for the 12 months ended December 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 $71 0.68% |
Expenses Paid, Amount | $ 71 |
Expense Ratio, Percent | 0.68% |
Factors Affecting Performance [Text Block] | How did the Fund perform over the past 12 months? For the 12 months ended December 31, 2024, Diversified Income Plus Fund, earned a return of 7.01%, outperforming the average return of its peer group, the Morningstar Conservative Allocation category which returned 5.41%. The Fund’s broad-based benchmark MSCI All Country World Index - USD Net Returns earned a return of 17.49% 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 1 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 12/14 10,000 10,000 10,000 10,000 10,000 10,000 12/15 9,981 9,764 10,055 9,728 10,151 9,913 12/16 10,671 10,531 10,321 11,099 10,321 10,657 12/17 11,653 13,056 10,687 11,867 10,577 13,045 12/18 11,318 11,827 10,688 11,644 10,682 11,908 12/19 12,833 14,973 11,620 13,412 11,360 15,203 12/20 13,733 17,406 12,492 14,440 11,800 17,621 12/21 14,633 20,633 12,299 15,111 11,677 21,465 12/22 12,796 16,844 10,699 13,513 10,298 17,571 12/23 14,081 20,584 11,291 15,210 10,817 21,751 12/24 15,069 24,183 11,432 16,239 10,947 25,812 |
Average Annual Return [Table Text Block] | Average Annual Total Returns * 1 year 5 year 10 year Class S Footnote Reference 1 7.01% 3.26% 4.19% MSCI All Country World Index - USD Net Returns 17.49% 10.06% 9.23% Bloomberg U.S. Aggregate Bond Index 1.25% - 1.35% Bloomberg U.S. High Yield Ba/B 2% Issuer Capped Index 6.77% 3.90% 4.97% Bloomberg U.S. Mortgage-Backed Securities Index 1.20% - 0.91% MSCI World Index - USD Net Returns 18.67% 11.17% 9.95% |
AssetsNet | $ 975,807,380 |
Holdings Count | Holding | 1,957 |
Advisory Fees Paid, Amount | $ 5,213,972 |
InvestmentCompanyPortfolioTurnover | 50% |
Additional Fund Statistics [Text Block] | Fund Statistics Total Net Assets # of Portfolio Holdings Portfolio Turnover Rate Advisory Fees Paid $975,807,380 1,957 50% $5,213,972 |
Holdings [Text Block] | Portfolio Composition (% of Portfolio) Value Value Long-Term Fixed Income 68.9% Common Stock 14.8% Registered Investments Companies 9.9% Short-Term Investments 4.9% Preferred Stock 1.5% |
Largest Holdings [Text Block] | Top Ten Holdings (% of Net Assets) Thrivent Core Emerging Markets Debt Fund 7.9% U.S. Treasury Notes 3.0% U.S. Treasury Notes 1.6% Federal National Mortgage Association Conventional 30-Yr. Pass Through 1.6% U.S. Treasury Notes 1.2% Thrivent Core International Equity Fund 1.1% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal National Mortgage Association Conventional 30-Yr. Pass Through 0.9% Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 0.9% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since December 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 December 31, 2024. |