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Date:Aug 13, 2009
Price:Free
Pages:4
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Cash Flow for Lincoln National Corporation (LNC)

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Cash Flow for Lincoln National  (LNC) 
$ 23.53   -0.23 (-0.97%) Volume: 3.52 m 4:00 PM EST Nov 20, 2009
After Hours:  $ 23.53 0.00 (0.00%) Volume: 16.83 k 4:14 PM EST Nov 20, 2009
Statement: View:
Cash Flow in Millions of Dollars
12/2008 12/2007 12/2006 12/2005 12/2004
Net Income 57 1,215 1,316 831 (707)
Provision for Loan Loss - - - - -
Depreciation & Amortization (76) (12) (15) 76 191
Deferred Income Taxes - - - - -
Change in Assets (Receivables) 11 197 557 (1) 234
Change in Liabilities (Payables) 753 23 82 (245) (471)
Investment Securities Gain 205 124 3 (5) 57
Net Policy Acquisition Cost (238) 684 290 (442) (354)
Realized Investment Gains 537 - - (14) (134)
Net Premiums Receivables 69 (45) 49 (14) 97
Change in Income Taxes (504) 585 240 137 135
Other Non-Cash Items 445 (816) 527 649 2,063
Net Cash from Operating Activities 1,259 1,955 3,049 972 1,111
Proceeds from Sale/Mat. Inv. 9,779 13,137 10,057 7,549 9,910
Purchase of Investment Securities (10,310) (14,867) (10,524) (6,878) (11,261)
Net Increase Fed. Funds Sold - - - - -
Purchase of Property & Equipment - - - - -
Acquisitions 648 64 (1,826) - -
Other Investment Changes, Net 2,454 (295) 28 37 298
Net Cash from Investing Activities 2,571 (1,961) (2,265) 709 (1,053)
Net Change in Deposits - - - 701 1,575
Cash Dividends paid (430) (430) (385) (255) (249)
Repayment of Long Term Debt (300) (658) (178) (241) (127)
Change in Short Term Debt 50 265 (564) 98 (22)
Issuance of Long term Debt 450 1,422 2,045 - 244
Issuance of Preferred Stock - - - - -
Issuance of Common Stock 49 98 166 136 82
Purchase of Treasury Stock (476) (986) (1,002) (104) (350)
Other Financing Activities 1,088 338 (1,557) (1,366) (1,259)
Cash from Financing Activities 431 49 (1,475) (1,031) (107)
Effect of Exchange Rate Changes - - - - -
Net Change in Cash & Equivalents 4,261 43 (691) 650 (50)
Cash at Beginning of Period 1,665 1,622 2,312 1,662 1,711
Cash at End of Period 5,926 1,665 1,621 2,312 1,662

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