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| Date: | Aug 13, 2009 |
| Price: | Free |
| Pages: | 4 | | Document Type: | Adobe Acrobat Reader |
| | Download LNC report |
| | |
| Example preview: |
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Cash Flow for Lincoln National Corporation (LNC)
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| Cash Flow for Lincoln National
(LNC)
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After Hours:
$ 23.53
|
0.00
(0.00%)
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Volume: 16.83 k
|
4:14 PM EST Nov 20, 2009
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| 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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