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
Net income (loss)2941,3131,2441,5151,1541,1922,0791,6418864991,405-2,227-752
Realized (gain) loss---------610-513-212336-4,311
Proceeds from (Payments for) Trading Securities, Short-Term88222151309146168121-118-2,510266-1083001,301
Market risk benefit (gain) loss------------2,264
Amortization of deferred gain on business sold through reinsurance-75-74747474732393141467438
Sales and maturities (purchases) of trading securities, net88222151309146168121-118-2,510266-1083001,301
Impairment of intangibles-----------634-
Amortization of deferred gain (loss) on business sold through reinsurance-75-74747474732393141467438
Deferred acquisition costs, value of business acquired, deferred ales inducements and deferred front-end loads-252-219-529-517-11914316-81-40948315115637
Premiums and fees receivable73-284053-9754-3487-105219354-
Accrued investment income4834142021-816172984-1667-4
Accrued investment income4834142021-816172984-1667-4
Insurance liabilities and reinsurance-related balances----------1,954-5,9563,681
Insurance liabilities and reinsurance-related balances----------1,954-5,9563,681
Accrued expenses--------101107-18389-89109
Accrued expenses--------101107-18389-89109
Federal income tax accruals--3772296169-1,119154-227-98232-530-396
Federal income tax accruals--3772296169-1,119154-227-98232-530-396
Impairment of intangibles-----------634-
Net operating cash payments related to closing Fortitude Re reinsurance transaction------------1,438
Deferred acquisition costs, value of business acquired, deferred ales inducements and deferred front-end loads-252-219-529-517-11914316-81-40948315115637
Premiums and fees receivable73-284053-9754-3487-105219354-
Accrued investment income4834142021-816172984-1667-4
Accrued investment income4834142021-816172984-1667-4
Insurance liabilities and reinsurance-related balances----------1,954-5,9563,681
Insurance liabilities and reinsurance-related balances----------1,954-5,9563,681
Accrued expenses--------101107-18389-89109
Accrued expenses--------101107-18389-89109
Federal income tax accruals--3772296169-1,119154-227-98232-530-396
Federal income tax accruals--3772296169-1,119154-227-98232-530-396
Other-31-31200109278-213-89-425-169217-405-133
Other-31-31200109278-213-89-425-169217-405-133
Net cash provided by (used in) operating activities1,2771,2697992,5262,2431,2727881,943-2,6865341514,033-2,074
Net cash provided by (used in) operating activities1,2771,2697992,5262,2431,2727881,943-2,6865341514,033-2,074
Purchases of available-for-sale securities and equity securities-------12,65015,32616,76116,89314,81311,131
Sales of available-for-sale securities and equity securities---------1,4262,2682,2974,013
Maturities of available-for-sale securities5,3245,9746,1715,2124,4085,3645,8866,0046,5715,3549,6215,4535,670
Purchases of alternative investments-----302357314433396757664630
Sales and repayments of alternative investments-----238184178131171377446111
Issuance of mortgage loans on real estate-----2,1552,0582,9274,2621,8003,0842,5031,946
Repayment and maturities of mortgage loans on real estate-----9421,1841,0851,1631,1541,8812,2551,268
Repayment (issuance) of policy loans, net------92-51-21-32-50-62-5119
Net Change In Collateral On Investments, Derivatives And Related Settlements----------3,261-4,071-260
Other130183100828010611319326115330348310
Net cash provided by (used in) investing activities-2,125-3,857-4,710-1,805-4,223-3,666-4,188-5,815-5,499-9,481-3,567-11,643-3,334
Payment of long-term debt, including current maturities525320-500250600-5373081,096-300500
Proceeds from Issuance of Long-Term Debt298300393-298395-1,0947441,289-296-
Payment related to modification or early extinguishment of debt-----59-2342138--
Payment related to sale-leaseback transactions--------8347597079
Proceeds from certain financing arrangements--------10710915918686
Deposits of fixed account balances10,95310,69410,49210,38810,76910,05310,79713,63816,06914,03412,63915,22916,404
Payment related to certain financing arrangements------------49
Withdrawals of fixed account balances5,0505,6915,2965,8406,1265,5055,8256,0075,8496,1136,6076,91310,660
Proceeds From Reinsurance Agreements, Financing Activities------------1,246
Transfers from (to) separate accounts, net2,3252,0913,0012,5092,4741,3081,7872,4691,362-528340195624
Deposits of fixed account balances10,95310,69410,49210,38810,76910,05310,79713,63816,06914,03412,63915,22916,404
Common stock issued for benefit plans--------207-20167
Withdrawals of fixed account balances5,0505,6915,2965,8406,1265,5055,8256,0075,8496,1136,6076,91310,660
Issuance of preferred stock, net of issuance costs-----------986-
Transfers from (to) separate accounts, net2,3252,0913,0012,5092,4741,3081,7872,4691,362-528340195624
Repurchase of common stock5764924506509008797259005502751,105550-
Common stock issued for benefit plans--------207-20167
Dividends paid to common stockholders6191128170204238262289303311319310-
Issuance of preferred stock, net of issuance costs-----------986-
Other----------6-60-2-
Repurchase of common stock5764924506509008797259005502751,105550-
Net cash provided by (used in) financing activities2,6172,3082,0458341,2071,9702,3064,5898,4038,0924,3208,3415,430
Dividends paid to preferred stockholders------------82
Dividends paid to common stockholders------------305
Other----------6-60-2-
Net cash provided by (used in) financing activities2,6172,3082,0458341,2071,9702,3064,5898,4038,0924,3208,3415,430
Net increase (decrease) in cash, invested cash and restricted cash-------717218-855904731-
Net increase (decrease) in cash, invested cash and restricted cash------------22