LINCOLN NATIONAL CORPLNC

Market cap
$5.4B
P/E ratio
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Fair Value75,43382,03680,07886,24084,96489,01394,84094,024105,200123,044118,74699,736-
Fixed maturity available-for-sale securities, at fair value------------88,738
Trading securities--------4,6734,5014,4823,4982,359
Equity securities-------99103129318427306
Notes Receivable, Net---------16,76317,99118,301-
Mortgage loans on real estate, net of allowance for credit losses------------18,963
Policy loans2,8842,7662,6772,6702,5452,4512,3992,5092,4772,4262,3642,3592,476
Derivative Asset3,1512,6528811,8601,5379279151,1071,9113,1095,4373,7366,474
Other investments1,0691,0981,2181,7091,7782,2302,2962,2552,9943,9844,2923,7395,015
Total investments93,13099,06595,291102,967102,208106,721113,089115,216133,697153,956153,630131,796124,331
Cash and invested cash-------2,3452,5631,7082,6123,3433,365
Deferred acquisition costs and value of business acquired-6,6678,8868,2079,5109,1348,40310,2647,6945,8126,08113,588-
Deferred acquisition costs, value of business acquired and deferred sales inducements------------12,397
Accrued investment income9811,0151,0291,0491,0701,0621,0781,1191,1481,2571,1891,2531,082
Reinsurance recoverables, net of allowance for credit losses6,5266,4496,0415,7305,6235,2654,90717,74817,10016,50020,30019,90029,843
Reinsurance recoverables6,5266,4496,0415,7305,6235,2654,90717,74817,10016,50020,30019,90029,843
Deposit Assets------------28,789
Goodwill2,2732,2732,2732,2732,2732,2731,3681,7821,7781,7781,7781,1441,144
Market risk benefit assets------------3,894
Other Assets2,5362,5802,7302,8453,4835,0066,08215,71316,17015,96018,03620,8959,311
Accrued investment income9811,0151,0291,0491,0701,0621,0781,1191,1481,2571,1891,2531,082
Separate Account Asset83,47795,373117,135125,265123,619128,397144,219132,833153,566167,965182,583143,536158,257
Goodwill2,2732,2732,2732,2732,2732,2731,3681,7821,7781,7781,7781,1441,144
Total assets202,906218,869236,945253,377251,937261,627281,763298,147334,761365,948387,301335,437372,413
Other assets2,5362,5802,7302,8453,4835,0066,08215,71316,17015,96018,03620,8959,311
Separate Account Asset83,47795,373117,135125,265123,619128,397144,219132,833153,566167,965182,583143,536158,257
Total assets202,906218,869236,945253,377251,937261,627281,763298,147334,761365,948387,301335,437372,413
Future contract benefits19,81319,78017,25120,05720,70821,57622,88734,64836,42040,81441,03042,15139,864
Policyholder Account Balance69,46672,21874,54875,51277,36278,90380,20991,23398,018105,405111,702120,800120,737
Balance as of end-of-year69,46672,21874,54875,51277,36278,90380,20991,23398,018105,405111,702120,800120,737
Future contract benefits19,81319,78017,25120,05720,70821,57622,88734,64836,42040,81441,03042,15139,864
Debt, Current300200501250--450-300-300500250
Funds withheld reinsurance liabilities1,0459408677646381,9761,7611,7401,8101,9462,118-17,641
Long-term debt5,3915,4395,3205,2705,5825,3454,8945,8396,0676,6826,3255,9555,699
Market risk benefit liabilities------------1,716
Deposits Received for Securities Loaned, at Carrying Value3,7334,1813,2384,4094,6574,9954,4174,8055,0826,2228,9466,7128,105
Deferred front-end loads------------5,901
Other Liabilities4,7625,1394,2535,7765,5655,8805,54612,69613,48213,82313,81911,6827,350
Payables for collateral on investments3,7334,1813,2384,4094,6574,9954,4174,8055,0826,2228,9466,7128,105
Balance as of end-of-year83,47795,373117,135125,265123,619128,397144,219132,833153,566167,965182,583143,536158,257
Debt, Current300200501250--450-300-300500250
Total liabilities188,742203,896223,493237,637238,320247,149264,441283,797315,072343,249367,029331,336365,520
Long-term debt5,3915,4395,3205,2705,5825,3454,8945,8396,0676,6826,3255,9555,699
Other liabilities4,7625,1394,2535,7765,5655,8805,54612,69613,48213,82313,81911,6827,350
Separate Account, Liability83,47795,373117,135125,265123,619128,397144,219132,833153,566167,965182,583143,536158,257
Total liabilities188,742203,896223,493237,637238,320247,149264,441283,797315,072343,249367,029331,336365,520
Series C Preferred Stock-----------493493
Series D Preferred Stock-----------493493
Preferred stock-------------
Common stock7,5907,1216,8766,6226,2985,8695,6935,3925,1625,0824,7354,5444,605
Retained earnings4,1264,0445,0136,0226,4747,0438,3998,5518,8548,6869,0966,2394,778
Accumulated other comprehensive income (loss)2,4483,8081,5633,0968451,5663,2304075,6738,9316,441-7,668-3,476
Total stockholders’ equity14,16414,97313,45215,74013,61714,47817,32214,35019,68922,69920,2724,1016,893
Total liabilities and stockholders’ equity202,906218,869236,945253,377251,937261,627281,763298,147334,761365,948387,301335,437372,413