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Lincoln SVUL-II (Elite Series)


Unit Values

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Year-end unit values are not available for funds or products introduced after December 31 of the prior year. This data will be calculated after the close of business on December 31 of this year and posted to this site.

Investment Options Investment Option Inception Date Year-end 12/31/2008 unit value($) Daily as of 11/19/2009 unit value($)
AIM VI Capital Appreciation
- The AIM VI Growth Fund closed effective 4/28/2006, and the values were transferred to The AIM VI Capital Appreciation Fund
5/5/1993 3.313806 3.857342
AIM VI Core Equity6 5/2/1994 5.588137 6.959059
AIM VI International Growth1
- not available to policies issued on or after 5/10/04
5/5/1993 7.974742 10.474037
AllianceBernstein VPS Global Thematic Growth1,5
(formerly AllianceBernstein VPS Technology Portfolio)
1/11/1996 6.933218 10.225417
AllianceBernstein VPS Growth and Income Portfolio (Class A) 1/14/1991 8.675015 10.261992
AllianceBernstein VPS International Value Portfolio (Class A)*1 5/10/2001 5.815139 7.764991
AllianceBernstein VPS Large Cap Growth Portfolio (Class A)
(formerly AllianceBernstein VPS Premier Growth Portfolio)
- not available to policies issued on or after 5/16/2005
6/26/1992 7.664379 10.296247
AllianceBernstein VPS Small/Mid Cap Value 2
(formerly AllianceBernstein VPS Small Cap Value Portfolio)
5/1/2001 13.112515 17.684473
American Century VP Inflation Protection 12/31/2002 11.607969 12.806054
American Funds Global Growth1 4/30/1997 10.886652 15.161612
American Funds Global Small Capitalization 1,2 4/30/1998 8.346603 13.006449
American Funds Growth 2/8/1984 6.612214 8.983819
American Funds Growth-Income 2/8/1984 9.528164 12.125682
American Funds International1 5/1/1990 13.334519 18.950639
BlackRock Global Allocation VI 2/28/1992 N/A 11.590242
Delaware VIP Diversified Income7 5/16/2003 11.769464 14.647863
Delaware VIP Emerging Markets (Standard Class)10 5/1/1997 21.456687 36.218616
Delaware VIP High Yield7 7/28/1988 10.913640 15.631292
Delaware VIP Limited-Term Diversified Income* 7/27/1988 10.708307 11.990131
Delaware VIP REIT9 5/4/1998 17.564649 20.146929
Delaware VIP Small-Cap Value Series2 12/27/1993 16.632104 20.544141
Delaware VIP Trend Series2 12/27/1993 5.326967 7.556719
Delaware VIP U.S. Growth Series (Standard Class) 11/15/1999 7.044225 9.588882
Delaware VIP Value
(formerly Delaware Large Cap Value Series)
7/28/1988 10.002456 11.459211
DWS Alternative Asset Allocation Plus VIP 2/2/2009 N/A 11.535514
DWS Equity 500 Index VIP4
- closed to new sales as of 6/4/2007
10/1/1997 6.535510 8.029355
DWS Small Cap Index VIP2,4
- closed to new sales as of 6/4/2007
8/25/1997 9.666350 11.351074
Fidelity Mid Cap Portfolio (Service Class 2)*2 12/28/1998 9.343507 12.819218
Fidelity VIP Contrafund 1/3/1995 8.984026 11.661930
Fidelity VIP Equity-Income Portfolio (Service Class)*
- not available to policies issued on or after 5/16/2005
10/9/1986 8.670085 11.055724
Fidelity VIP Growth 10/9/1986 4.737943 5.792751
Fidelity VIP Overseas Portfolio (Service Class)*1 1/28/1987 11.723371 14.593323
FTVIPT Franklin Income Securities Fund (Class 1) 1/24/1989 8.157088 10.578967
FTVIPT Franklin Small-Mid Cap Growth Securities Fund (Class 1)2
(formerly FTVIPT Franklin Small Cap Fund)
11/1/1995 8.660452 11.708242
FTVIPT Mutual Shares Securities Fund (Class 1) 11/8/1996 7.302870 8.950788
FTVIPT Templeton Global Bond Securities**1 1/24/1989 12.985916 15.229298
FTVIPT Templeton Growth Securities Fund (Class 1)**1
- closed to new sales as of 5/21/2007
3/15/1994 9.818559 12.573632
Janus Aspen Balanced
- not available to policies issued on or after 5/16/2005
9/13/1993 12.237531 14.988231
Janus Aspen Enterprise2
- not available to policies issued on or after 5/16/2005
9/13/1993 9.793270 13.397718
Janus Aspen Worldwide Growth1 9/13/1993 7.315489 9.721462
LVIP Baron Growth Opportunities (Standard Class) 10/1/1998 8.182936 10.753164
LVIP Baron Growth Opportunities2 10/1/1998 10.380962 13.611679
LVIP Capital Growth Fund (Standard Class) 5/1/1992 6.243860 8.203301
LVIP Cohen & Steers Global Real Estate1,9 4/30/2007 4.758370 6.292859
LVIP Columbia Value Opportunities (Standard Class) 5/1/2001 6.170375 7.208445
LVIP Delaware Bond 12/28/1981 15.269494 18.011429
LVIP Delaware Foundation Aggressive Allocation1
Not available to contracts issued after 5/18/09.
8/3/1987 8.766797 11.245631
LVIP Delaware Growth and Income 12/28/1981 8.045114 9.736295
LVIP Delaware Social Awareness 5/2/1988 7.467472 9.298634
LVIP Delaware Special Opportunities 12/28/1981 5.783924 7.224284
LVIP Global Income 5/4/2009 N/A 10.892467
LVIP Janus Capital Appreciation 2/3/1994 4.589998 6.081027
LVIP Marsico International Growth Fund (Standard Class) 1/1/1998 5.683388 7.642928
LVIP MFS Value 5/1/1992 6.563648 7.692597
LVIP Mid-Cap Value 5/1/2001 5.113617 6.885372
LVIP Mondrian International Value1 5/1/1991 15.233870 18.046875
LVIP Money Market3 1/7/1982 12.040675 11.989391
LVIP SSgA Bond Index 4/30/2008 10.289780 10.790499
LVIP SSgA Developed International 150 4/30/2008 5.502317 8.006197
LVIP SSgA Emerging Markets 100 6/18/2008 6.195630 11.342712
LVIP SSgA International Index 4/30/2008 5.792373 7.328622
LVIP SSgA Large Cap 100 4/30/2008 6.273575 8.173096
LVIP SSgA S&P 500 Index4,12 5/1/2000 7.384395 9.061604
LVIP SSgA Small/Mid Cap 200 4/30/2008 6.623613 9.387315
LVIP SSgA Small-Cap Index2,4 4/18/1986 6.030323 7.058399
LVIP T. Rowe Price Growth Stock 5/1/1995 5.761573 7.903827
LVIP T. Rowe Price Structured Mid-Cap Growth2 2/3/1994 8.478211 11.764726
LVIP Templeton Growth Fund (Standard Class) 8/1/1985 6.084761 7.658058
LVIP Turner Mid-Cap Growth (Standard Class) 5/1/2001 5.542321 7.584068
LVIP Wells Fargo Intrinsic Value Fund 2/3/1994 8.746902 10.451259
LVIP Wilshire 2010 Profile11,12 5/1/2007 7.929028 9.688018
LVIP Wilshire 2020 Profile11,12 5/1/2007 7.506459 9.264642
LVIP Wilshire 2030 Profile11,12 5/1/2007 7.180864 9.011221
LVIP Wilshire 2040 Profile11,12 5/1/2007 6.574228 8.409096
LVIP Wilshire Aggressive Profile11,12 5/3/2005 8.510150 10.794191
LVIP Wilshire Conservative Profile11,12 5/3/2005 9.888098 12.092754
LVIP Wilshire Moderately Aggressive Profile11,12 5/3/2005 8.985638 11.284913
LVIP Wilshire Moderate Profile11,12 5/3/2005 9.483280 11.838857
MFS VIT Core Equity1
- not available to policies issued on or after 5/16/2005
8/14/1996 7.988998 10.186143
MFS VIT Growth10 7/24/1995 4.363748 5.781677
MFS VIT Total Return 1/3/1995 12.235712 14.183943
MFS VIT Utilities1,5,8 1/3/1995 12.009354 15.067755
Neuberger Berman AMT Mid-Cap Growth2
- closed to new sales as of 6/4/2007
11/3/1997 5.732599 7.092261
Neuberger Berman AMT Regency2
- closed to new sales as of 6/4/2007
8/22/2001 10.277118 14.394704
PIMCO VIT Commodity Real Return Strategy 6/30/2004 N/A 12.259374
Putnam VT Global Health Care5
- not available to policies issued on or after 5/10/04
5/1/1998 9.237813 11.139515
Putnam VT Growth & Income
- not available to policies issued on or after 5/10/04.
2/1/1988 7.760362 9.787456

1 International
Investing internationally involves risks not associated with investing solely in the United States, such as currency fluctuation, political risk, differences in accounting and the limited availability of information.

2 Small and Mid Cap
Funds that invest small and/or mid-size company stocks typically involve greater risk, particularly in the short term, than those investing in larger, more established companies.

3 Money Market Funds
An investment in a money market fund is not insured or guaranteed by the FDIC or any other government agency. Although the fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the fund.

4 Index
An index is unmanaged, and one cannot invest directly in an index.

5 Sector Funds
Funds that concentrate investments in one region or industry may carry greater risk than more broadly diversified funds.

6 Government Bonds and T-Bills
Government bonds and Treasury bills are backed by the full faith and credit of the U.S. government, and typically pay a fixed rate of return.

7 High Yield Bonds
High yield bonds experience higher volatility and increased credit risk when compared to other fixed income investments.

8 High Yield Portfolio
The portfolio may invest in high-yield or lower-rated securities, which may provide greater returns but are subject to greater-than-average risk such as increased risk of non-payment or default.

9 REIT
REITs involve risk such as refinancing, economic conditions in the real estate industry, changes in property values, dependency on real estate management, and other risks associated with a portfolio that concentrates its investments in one sector or geographic region.

10 Emerging Markets
Investing in emerging markets can be riskier than investing in well-established foreign markets. International investing involves special risks not found in domestic investing, including increased political, social and economic instability.

11 Profile Funds
Profile funds diversify among various asset classes within a product. While diversification may help reduce the investment risk, it does not ensure a profit or guarantee against a loss.

12 S&P
"S&P" is a trademark of The McGraw-Hill Companies, Inc. and has been licensed for use by Lincoln Variable Insurance Products Trust and its affiliates. The product is not sponsored, endorsed, sold or promoted by Standard & Poor's and Standard & Poor's makes no representation regarding the advisability of purchasing the product. (Please see the Statement of Additional information which sets forth additional disclaimers and limitations of liability on behalf of S&P).


* VIP refers to Variable Insurance Products Fund.

** FTVIPT refers to Franklin Templeton Variable Insurance Products Trust.

Important Disclosures

This information is based on past performance and is not a guarantee or an indication of future results.

Returns shown reflect all fund management fees and other expenses of the underlying funds (investment options) and a policy level mortality & expense (M&E) charge applied on a daily equivalent basis. This guaranteed M&E charge is .80% M&E charge in all years.

Premium loads, cost of insurance, administrative fees and surrender charges are not reflected in these figures. If they were, performance would be significantly lower than shown. Ask your financial advisor for a personalized illustration reflecting all costs.

Investment return and principal value will fluctuate so that the value of redeemed shares may be worth more or less than their original cost. Returns include a change in share price over a given period and reinvestment of dividends and capital gains. Investment Option Inception Date of a particular fund may pre-date its actual inclusion in this variable life insurance product.

Lincoln SVUL-II featuring the Elite Series of Funds, first introduced September 4, 2001, is issued by The Lincoln National Life Insurance Company on policy form LN655 and offered through broker/dealers with an effective selling agreement. Product and features subject to state availability. This product is not available in New York.

Variable life insurance products are not a deposit, not FDIC-insured, not insured by any federal government agency, not guaranteed by any bank or savings association and may go down in value.

Lincoln Financial Group is the marketing name for Lincoln National Corporation and its affiliates.

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