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LINCOLN VARIABLE INSURANCE PRODUCTS TRUST

From the table below you can access the following regulatory reports for each individual fund:

  • Prospectuses provide key information about a fund's investment objectives and strategies, risks, performance, fees and expenses.
  • Summary prospectuses are condensed versions of the prospectuses.
  • Statement of Additional Information (SAI) provides additional details regarding a fund including information about strategies, investment restrictions and policies, fund management, and proxy voting guidelines.
  • Shareholder reports summarize fund operations and results and include portfolio summaries and financials. Annual reports review the past fiscal year. Semi-annual reports provide mid-year updates.
  • XBRL files provide risk/return summary information in an interactive data format.

All funds may not be available for investment under your policy or contract.

You can navigate back and forth between a fund's full version Prospectus and Statement of Additional Information (SAI) directly from each fund's Summary Prospectus through bookmarks.

LVIP Funds Prospectuses, SAI, Annual and Semi-annual Reports, XBRL files

Hello future.
Lincoln Financial Group is the marketing name for Lincoln National Corporation and insurance
company affiliates, including The Lincoln National Life Insurance Company, Fort Wayne, IN,
and in New York, Lincoln Life & Annuity Company of New York, Syracuse, NY. Variable products
distributed by broker/dealer-affiliate Lincoln Financial Distributors, Inc., Radnor, PA. Securities
and investment advisory services offered through other affiliates. Explore Lincoln.



LCN-2008249lvip