UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM 8-K Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 Date of Report: June 30, 2001 LINCOLN NATIONAL CORPORATION (Exact name of registrant as specified in its charter) Indiana 1-6028 35-1140070 (State of Incorporation) (Commission File Number) (I.R.S. Employer Identification No.) 1500 Market Street, Suite 3900, Centre Square West Tower, Philadelphia, PA 19102 (Address of principal executive offices) Registrant's telephone number 219-448-1400 Item 9 Financial Report for the year ended June 30, 2001. PAGE 1 Financial Highlights Unaudited [Amounts in Millions, except Per Share] For the Quarter Ended June 30 For the Six Months Ended June 30 2001 2000 2001 2000 Amount Amount Change % Change Amount Amount Change % Change Income from Operations Annuities 90.8 84.1 6.7 8.0% 173.1 172.6 0.5 0.3% Life Insurance 67.1 62.4 4.7 7.5% 135.7 122.9 12.8 10.4% Reinsurance 34.1 25.8 8.3 32.2% 80.9 57.7 23.2 40.2% Investment Management 3.7 13.1 (9.4) (71.8%) 6.1 25.5 (19.4) (76.1%) Lincoln UK 16.2 19.3 (3.1) (16.1%) 30.6 35.0 (4.4) (12.6%) Corporate & Other (43.8) (31.7) (12.1) (79.7) (70.1) (9.6) ----- ----- ----- ----- ----- ----- ----- ------ Total Income from Operations 168.1 173.0 (4.9) (2.8%) 346.7 343.6 3.1 0.9% ----- ----- ----- ----- ----- ----- ----- ------ Realized gains (losses) on investments (11.5) (6.7) (4.8) (24.8) (7.1) (17.7) Gains (losses) on derivatives 0.2 0.0 0.2 0.1 0.0 0.1 Restructuring charges (3.9) (2.7) (1.2) (4.5) (2.7) (1.8) ----- ----- ----- ----- ----- ----- Income before Accounting Changes 153.0 163.6 (10.7) 317.5 333.8 (16.3) Cumulative effect of accounting changes* (11.3) 0.0 (11.3) (15.6) 0.0 (15.6) ----- ----- ----- ----- ----- ----- ----- Net Income 141.7 163.6 (21.9) (13.4%) 301.9 333.8 (31.9) (9.6%) ===== ===== ===== ===== ===== ===== ===== ====== Earnings per share (diluted) Income from Operations $0.88 $0.89 ($0.01) (1.1%) $1.80 $1.77 $0.03 1.7% Realized gain (losses) on investments ($0.06) ($0.04) ($0.02) ($0.13) ($0.04) ($0.09) Gains (losses) on derivatives $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Restructuring charges ($0.02) ($0.01) ($0.01) ($0.02) ($0.01) ($0.01) ----- ----- ----- ----- ----- ----- ----- ------ Income before Accounting Changes $0.80 $0.84 ($0.04) $1.65 $1.72 ($0.07) Cumulative effect of accounting changes* ($0.06) $0.00 -- ($0.08) $0.00 ($0.08) ----- ----- ----- ----- ----- ----- ----- ------ Net Income $0.74 $0.84 ($0.10) (11.9%) $1.57 $1.72 ($0.15) (8.7%) ===== ===== ===== ===== ===== ===== ===== ====== Inc. from Oper.- before Goodwill Amort. Annuities 91.1 84.4 6.7 7.9% 173.7 171.4 2.3 1.3% Life Insurance 73.0 68.4 4.7 6.8% 147.6 134.7 12.9 9.6% Reinsurance 34.6 26.3 8.3 31.7% 81.8 58.6 23.2 39.6% Investment Management 7.7 17.1 (9.4) (55.0%) 14.2 33.6 (19.4) (57.8%) Lincoln UK 16.4 20.5 (4.2) (20.3%) 30.9 37.6 (6.7) (17.8%) Corporate & Other (43.8) (31.7) (12.1) (79.8) (70.1) (9.7) ----- ----- ----- ----- ----- ----- ----- ------ Total 179.0 185.0 (6.0) (3.3%) 368.5 365.9 2.6 0.7% ===== ===== ===== ===== ===== ===== ===== ====== Earnings per share (diluted) Inc. from Oper.- before Goodwill Amort. $0.93 $0.95 ($0.02) (2.1%) $1.91 $1.88 $0.03 1.6% Operating Revenue Annuities 522.1 530.1 (7.9) (1.5%) 1034.9 1074.6 (39.7) (3.7%) Life Insurance 465.5 450.5 15.0 3.3% 933.4 896.0 37.4 4.2% Reinsurance 451.4 458.9 (7.5) (1.6%) 966.5 851.6 114.8 13.5% Investment Management 111.4 123.8 (12.4) (10.0%) 224.4 249.8 (25.4) (10.2%) Lincoln UK 66.9 108.4 (41.5) (38.3%) 151.2 221.6 (70.3) (31.7%) Corporate & Other (0.7) 31.4 (32.1) (102.4%) 25.7 79.6 (53.9) (67.7%) ------ ------ ----- ----- ------ ----- ----- ------ Total Operating Revenue 1616.5 1703.0 (86.5) (5.1%) 3336.0 3373.2 (37.3) (1.1%) ====== ====== ===== ===== ====== ===== ===== ====== Revenue (Including Investment Gains/Losses) Annuities 512.1 530.5 (18.4) (3.5%) 1022.5 1079.2 (56.7) (5.3%) Life Insurance 455.7 444.2 11.4 2.6% 915.3 885.9 29.4 3.3% Reinsurance 448.7 457.2 (8.4) (1.8%) 956.8 851.6 105.1 12.3% Investment Management 110.3 120.7 (10.4) (8.6%) 222.6 246.5 (24.0) (9.7%) Lincoln UK 68.9 108.2 (39.3) (36.3%) 153.8 221.0 (67.2) (30.4%) Corporate & Other 3.3 31.9 (28.6) (89.8%) 26.8 77.6 (50.8) (65.5%) ------ ------ ----- ----- ------ ----- ----- ------ Total Revenue 1599.0 1692.7 (93.7) (5.5%) 3297.8 3361.9 (64.1) (1.9%) ====== ====== ===== ===== ====== ===== ===== ====== Operational Data by Segment: (Billions) Annuities Segment Annuity Gross Deposits 1.371 1.283 0.088 6.9% 2.818 2.669 0.149 5.6% Annuity Net Cash Flows (0.196) (0.682) 0.486 (0.786) (1.382) 0.596 Annuity Account Values 52.589 59.006 (6.417) (10.9%) 52.589 59.006 (6.417) (10.9%) Life Insurance Segment Life Insurance First Year Premium 0.154 0.142 0.012 8.5% 0.282 0.286 (0.004) (1.4%) Life Insurance In-force 223.272 207.487 15.785 7.6% 223.272 207.487 15.785 7.6% Life Insurance Account Values 11.066 10.538 0.528 5.0% 11.066 10.538 0.528 5.0% Reinsurance Segment Individual Life In-force Sales 28.3 37.2 (8.9) (23.9%) 59.2 67.2 (8.0) (11.9%) Reinsurance Life In-force 475.7 384.4 91.3 23.8% 475.7 384.4 91.3 23.8% Investment Management Segment Retail Deposits 0.854 1.020 (0.166) (16.3%) 1.978 2.387 (0.409) (17.1%) Retail Net Cash Flows (0.160) (0.363) 0.203 (0.208) (1.249) 1.041 Institutional In-flows 1.056 0.817 0.239 29.3% 2.247 1.901 0.346 18.2% Institutional Net Cash Flows 0.445 (1.057) 1.502 0.027 (3.668) 3.695 Total Net Cash Flows 0.285 (1.420) 1.705 (0.181) (4.917) 4.736 Assets Under Management 50.267 56.518 (6.251) (11.1%) 50.267 56.518 (6.251) (11.1%) Assets Under Management - Insurance Assets 36.018 34.891 1.127 3.2% 36.018 34.891 1.127 3.2% Assets Under Management - Total Segment 86.286 91.409 (5.123) (5.6%) 86.286 91.409 (5.123) (5.6%) Consolidated Consolidated Domestic Retail Deposits 2.504 2.655 (0.151) (5.7%) 5.233 5.736 (0.503) (8.8%) Consolidated Domestic Retail Account Balances 82.860 91.086 (8.226) (9.0%) 82.860 91.086 (8.226) (9.0%) Annuities & Investment Management Net Flows 0.055 (1.760) 1.815 (0.980) (5.240) 4.260 Total Assets Under Management 128.507 137.546 (9.039) (6.6%) 128.507 137.546 (9.039) (6.6%) * The cumulative effect of accounting changes relates to the adjustment recorded upon adoption of FAS #133 in the 1st qtr. 2001 and the adjustment recorded upon the adoption of EITF 99-20 in the 2nd qtr. 2001. PAGE 2 Financial Highlights Unaudited [Amounts in Millions, except Per Share] For the Quarter Ended June 30 For the Six Months Ended June 30 2001 2000 2001 2000 Amount Amount Change % Change Amount Amount Change % Change Consolidated Operational Data: (Billions) Balance Sheet Assets - End of Period 96431.2 103847.6 (7416.4) (7.1%) 96431.2 103847.6 (7416.4) (7.1%) Shareholders' Equity Beg of Period (Securities at Market) 5096.4 4340.4 756.0 4954.1 4263.9 690.2 End of Period (Securities at Market) 5055.9 4223.7 832.2 5055.9 4223.7 832.2 End of Period (Securities at Cost) 4952.8 4780.3 172.5 4952.8 4780.3 172.5 Average Equity (Securities at Cost) 4920.2 4753.0 167.2 4936.9 4772.2 164.7 Return on Equity Inc from Operations/Average Equity 13.7% 14.6% (0.9%) 14.0% 14.4% (0.4%) Net Income/Average Equity 11.5% 13.8% (2.2%) 12.2% 14.0% (1.8%) Return on Capital Inc from Operations/Average Capital 11.3% 11.8% (0.5%) 11.6% 11.6% 0.0% Common Stock Outstanding Average for the Period - Diluted 192.0 194.0 (2.0) (1.0%) 192.8 194.6 (1.8) (0.9%) End of Period - Assuming Conv of Pref. 188.2 191.1 (2.9) (1.5%) 188.2 191.1 (2.9) (1.5%) End of Period - Diluted 192.9 193.7 (0.8) (0.4%) 192.9 193.7 (0.8) (0.4%) Book Value (Securities at Market) $26.87 $22.10 4.77 21.6% $26.87 $22.10 4.77 21.6% Book Value (Securities at Cost) $26.32 $25.01 1.31 5.2% $26.32 $25.01 1.31 5.2% Cash Returned to Shareholders Share Repurchase - dollar amount 35.1 78.2 (43.1) 186.8 158.3 28.5 Dividends Declared to Shareholders 56.2 54.8 1.4 114.2 110.1 4.1 ------ ------ ----- ------ ------ ----- Total Cash Returned to Shareholders 91.3 133.0 (41.7) 301.0 268.4 32.6 ====== ====== ===== ====== ====== ===== Share Repurchase - number of shares 0.750 2.313 (1.563) 4.300 5.109 (0.809) Dividend Declared on Common Stock - per share $0.305 $0.290 $0.015 5.2% $0.610 $0.580 $0.030 5.2% For the Quarter Ended June 30 For the Six Months Ended June 30 Comprehensive Income 2001 2000 2001 2000 (millions) Amount Amount Amount Amount Net Income 141.7 163.6 301.9 333.8 Foreign Currency Translation (19.5) (0.9) (37.3) (8.2) Net Unrealized Gains (Losses) on Securitiies (114.2) (145.4) 64.2 (90.9) Gains (Losses) on Derivatives 3.7 0.0 9.4 0.0 Cumulative Effect of Accounting Change 0.0 0.0 17.6 0.0 ------ ------ ------ ----- Comprehensive Income 11.7 17.3 355.8 234.7 ------ ------ ------ ----- 6/30/01 PAGE 3 Financial Highlights Unaudited [Amounts in Millions] For the Quarter Ended June 30 For the Six Months Ended June 30 -------------------------------------------- -------------------------------------------- 2001 2000 2001 2000 Amount Amount Change % Change Amount Amount Change % Change Consolidated Condensed Statements of Income Revenue: Insurance Premiums and Fees 833.5 892.0 (58.4) (6.6%) 1,746.9 1,689.9 57.0 3.4% Investment Advisory Fees 49.6 52.2 (2.6) (4.9%) 99.0 106.1 (7.1) (6.7%) Net Investment Income 673.1 673.8 (0.8) (0.1%) 1,346.8 1,385.0 (38.2) (2.8%) Realized Gains (Losses) on Investments (17.9) (10.4) (7.5) (38.4) (11.4) (27.1) Gains (Losses) on Derivatives 0.2 -- 0.2 0.1 -- 0.1 Other 60.4 85.1 (24.7) (29.1%) 143.2 192.2 (49.0) (25.5%) ------- ------- ------- ------- ------- ------- ------- ------- Total Revenue 1,599.0 1,692.7 (93.7) (5.5%) 3,297.8 3,361.9 (64.1) (1.9%) Benefits and Expenses: Benefits 855.0 877.0 (22.0) (2.5%) 1,761.7 1,743.0 18.7 1.1% Underwriting, Acquisition, Insurance and Other Expenses 540.3 589.0 (48.8) (8.3%) 1,111.3 1,161.3 (49.9) (4.3%) ------- ------- ------- ------- ------- ------- ------- ------- Total Benefits and Expenses 1,395.3 1,466.0 (70.8) (4.8%) 2,873.0 2,904.3 (31.3) (1.1%) ------- ------- ------- ------- ------- ------- ------- ------- Net Income before Federal Taxes 203.7 226.6 (22.9) 424.8 457.6 (32.8) (7.2%) Federal Income Taxes 50.7 62.8 (12.1) 107.3 123.8 (16.5) (13.3%) ------- ------- ------- ------- ------- ------- ------- ------- Income before Accounting Changes and Minority Interest 153.0 163.8 (10.9) 317.5 333.8 (16.4) Cumulative Effect of Accounting Changes (11.3) -- (11.3) (15.6) -- (15.6) Minority Interest (0.0) 0.2 (0.3) -- -- -- ------- ------- ------- ------- ------- ------- ------- ------- Net Income 141.7 163.6 (21.9) (13.4%) 301.9 333.8 (31.9) (9.6%) ======= ======= ======= ======= ======= ======= ======= ======= Income before Tax and Cumulative Effect of Accounting Changes By Segment Annuities 102.6 105.3 (2.7) 197.9 221.2 (23.3) Life Insurance 90.9 93.6 (2.7) 190.0 185.0 5.0 Reinsurance 49.0 36.5 12.5 112.6 82.4 30.2 Investment Management 4.6 13.2 (8.6) 8.1 32.5 (24.4) Lincoln UK 21.2 26.0 (4.8) 40.8 46.0 (5.2) Corporate and Other (64.6) (48.0) (16.6) (124.6) (109.5) (15.1) ------- ------- ------- ------- ------- ------- ------- Income before Tax and Cumulative Effect of Accounting Changes 203.7 226.6 (22.9) 424.8 457.6 (32.8) Pre-Tax Realized Gains (Losses) by Segment* Annuities (10.0) 0.4 (10.4) (12.3) 4.6 (16.9) Life Insurance (9.8) (6.3) (3.5) (18.0) (10.1) (7.9) Reinsurance (2.7) (1.7) (1.0) (9.7) -- (9.7) Investment Management (1.1) (3.1) 2.0 (1.8) (3.3) 1.5 Lincoln UK 2.0 (0.2) 2.2 2.6 (0.5) 3.1 Corporate and Other 4.0 0.4 3.6 1.1 (2.0) 3.1 ------- ------- ------- ------- ------- ------- ------- Pre-Tax Realized Gains (Losses) on Investments and Derivatives (17.5) (10.4) (7.1) (38.2) (11.4) (26.8) After-Tax Realized Gains (Losses) by Segment* Annuities (6.5) 0.3 (6.8) (8.0) 3.0 (11.0) Life Insurance (6.3) (4.0) (2.3) (11.7) (6.4) (5.3) Reinsurance (1.7) (1.1) (0.6) (6.4) 0.1 (6.5) Investment Management (0.7) (2.0) 1.3 (1.2) (2.1) 0.9 Lincoln UK 1.4 (0.1) 1.5 1.8 (0.4) 2.2 Corporate and Other 2.6 0.3 2.3 0.7 (1.3) 2.0 ------- ------- ------- ------- ------- ------- ------- After-Tax Realized Gains (Losses) on Investments and Derivatives (11.2) (6.7) (4.5) (24.7) (7.1) (17.6) * Includes both realized gains (losses) on investments and gains (losses) on derivatives. 6/30/01 PAGE 4 Financial Highlights Unaudited [Amounts in Millions, except Retail Account Balances and Assets Managed] As of ----------------------------------------------------------------- June December 2001 2000 Amount Amount Change % Change ----------------------------------------------------------------- Consolidated Condensed Balance Sheets Assets: Investments: Securities Available for Sale: Fixed Maturities 27,873.9 27,449.8 424.1 1.5% Equities 534.1 549.7 (15.6) (2.8%) Mortgage Loans on Real Estate 4,652.8 4,663.0 (10.1) (0.2%) Real Estate 306.9 282.0 24.9 8.8% Policy Loans 1,947.4 1,960.9 (13.5) (0.7%) Other Long-Term Investments 480.9 463.3 17.6 3.8% --------- --------- --------- --------- Total Investments 35,796.0 35,368.6 427.3 1.2% Other Assets: Assets Held in Separate Accounts 47,140.2 50,579.9 (3,439.8) (6.8%) Other Assets 13,495.1 13,895.5 (400.4) (2.9%) --------- --------- --------- --------- Total Assets 96,431.2 99,844.1 (3,412.8) (3.4%) ========= ========= ========= ========= Liabilities and Shareholders' Equity Liabilities: Insurance and Investment Contract Liabilities 39,947.1 40,105.2 (158.1) (0.4%) Liabilities Related to Separate Accounts 47,140.2 50,579.9 (3,439.8) (6.8%) Other Liabilities 4,288.0 4,204.9 83.1 2.0% --------- --------- --------- --------- Total Liabilities 91,375.3 94,890.0 (3,514.7) (3.7%) Shareholders' Equity: Net Unrealized Gains(Losses) on Securities 103.1 12.0 91.1 756.0% Other Shareholders' Equity 4,952.8 4,942.0 10.8 0.2% --------- --------- --------- --------- Total Shareholders' Equity 5,055.9 4,954.1 101.9 2.1% --------- --------- --------- --------- Total Liabilities and Shareholders' Equity 96,431.2 99,844.1 (3,412.8) (3.4%) ========= ========= ========= ========= ----------------------------------------------------------------- As of June 30 ----------------------------------------------------------------- ($ billions) 2001 2000 Amount Amount Change % Change ----------------------------------------------------------------- Domestic Retail Account Balances: Annuities Segment - Fixed Annuities 15.628 15.909 (0.281) (1.8%) Annuities Segment - Variable Annuities 36.961 43.097 (6.136) (14.2%) Annuities Segment - Life Insurance 0.157 0.165 (0.008) (5.1%) Life Insurance Segment - Life Insurance 11.066 10.538 0.528 5.0% Investment Management - Annuities 12.483 14.861 (2.378) (16.0%) Investment Management - Mutual Funds 11.748 13.604 (1.856) (13.6%) Investment Management - Wrap Fee & Other 1.823 1.331 0.492 37.0% --------- --------- --------- --------- Total Domestic Account Balance 89.866 99.505 (9.639) (9.7%) ========= ========= ========= ========= Assets Managed by Advisor: Investment Management Segment 86.286 89.867 (3.580) (4.0%) Lincoln UK 7.027 8.058 (1.031) (12.8%) Policy Loans (within business units) 1.947 1.915 0.033 1.7% Non-LNC Affiliates 33.246 37.706 (4.460) (11.8%) --------- --------- --------- --------- Total Assets Managed 128.507 137.546 (9.039) (6.6%) ========= ========= ========= ========= Eleven-Year Summary Unaudited [Millions of Dollars except Per Share Data] For the Year Ended December 31 2000 1999 1998 1997 1996 1995 --------------------------------------------------------------------------------------------------- Revenue Annuities 2133.7 2115.8 2068.1 2023.0 1805.0 1877.1 Life Insurance 1819.0 1760.4 1378.5 544.8 549.2 514.9 Reinsurance 1769.3 1829.7 1577.7 1387.5 1561.8 1417.4 Investment Management 490.3 495.5 491.9 459.1 410.5 290.5 Lincoln UK 438.2 446.6 439.7 427.3 393.2 351.5 Employee Life - Health Benefits Corporate & Other 201.1 155.7 131.1 56.8 13.8 135.1 ------- ------- ------- ------- ------- ------- Total Revenue 6851.5 6803.7 6087.1 4898.5 4733.6 4586.5 ======= ======= ======= ======= ======= ======= Income from Operations* Annuities 362.0 299.4 262.4 223.0 174.6 175.2 Life Insurance 259.9 212.0 149.2 39.9 41.2 35.4 Reinsurance 122.5 40.1 104.9 (150.1) 74.8 (70.5) Investment Management 44.1 61.0 43.9 18.1 18.6 20.6 Lincoln UK 61.0 (13.9) 70.9 (108.3) 66.0 45.9 Employee Life - Health Benefits Corporate & Other (130.5) (123.2) (100.9) (73.2) (76.5) (65.7) ------- ------- ------- ------- ------- ------- Total Income from Cont Oper 719.1 475.5 530.4 (50.6) 298.8 140.8 Discontinued Operations 110.1 135.3 165.6 ------- ------- ------- ------- ------- ------- Income from Operations 719.1 475.5 530.4 59.4 434.1 306.5 ======= ======= ======= ======= ======= ======= Net Income Annuities 358.6 291.5 273.8 263.3 204.3 248.8 Life Insurance 249.3 211.5 127.5 39.1 51.8 40.6 Reinsurance 122.3 40.6 102.3 (133.8) 86.8 (59.6) Investment Management 37.0 51.6 44.4 25.1 25.0 27.4 Lincoln UK (13.2) (18.2) 71.7 (106.8) 66.0 45.7 Employee Life - Health Benefits Corporate & Other (132.5) (116.7) (109.9) (64.6) (77.5) (1.4) ------- ------- ------- ------- ------- ------- Total Net Inc from Cont Oper 621.4 460.4 509.8 22.2 356.4 301.4 Discontinued Operations 911.8 157.2 180.8 ------- ------- ------- ------- ------- ------- Total Net Income 621.4 460.4 509.8 934.0 513.6 482.2 ------- ------- ------- ------- ------- ------- Cumulative effect of accounting change Total Net Income 621.4 460.4 509.8 934.0 513.6 482.2 ======= ======= ======= ======= ======= ======= OTHER DATA Assets 99844.1 103095.7 93836.3 77174.7 71713.4 63257.7 Shareholders' Equity: Securities and Derivatives at Market 4954.1 4263.9 5387.9 4982.9 4470.0 4378.1 Securities and Derivatives at Cost 4942.0 4729.6 4835.6 4546.9 4057.1 3679.9 Average Equity (Sec & Deriv at Cost) 4831.9 4818.7 4685.6 4214.1 3866.0 3550.5 Common Shares Outstanding: (millions) End of Period - Diluted 195.2 197.0 203.4 204.7 209.5 210.3 Average for the Period - Diluted 194.9 200.4 203.3 208.0 210.7 209.5 Per Share Data (Diluted) Income (Loss) from Continuing Operations $3.69 $2.37 $2.61 ($0.24) $1.42 $0.67 Income from Operations * $3.69 $2.37 $2.61 $0.29 $2.06 $1.46 Net Income from Continuing Operations $3.19 $2.30 $2.51 $0.11 $1.69 $1.44 Net Income $3.19 $2.30 $2.51 $4.49 $2.44 $2.30 Shareholders' Equity: Shareholders' Equity (Sec & Deriv at Market) $25.92 $21.76 $26.59 $24.63 $21.50 $20.95 Shareholders' Equity (Sec & Deriv at Cost) $25.85 $24.14 $23.86 $22.48 $19.51 $17.61 Dividends Declared (Common Stock) $1.175 $1.115 $1.055 $0.995 $0.935 $0.875 Return on Equity (see page 32) Net Income/Average Equity 12.9% 9.6% 10.9% 22.2% 13.3% 13.6 Inc from Operations/Average Equity 14.9% 9.9% 11.3% 1.4% 11.2% 8.6 Market Value of Common Stock High for the Year $56.375 $57.500 $49.438 $39.063 $28.500 $26.875 Low for the Year $22.625 $36.000 $33.500 $24.500 $20.375 $17.313 Close for the Year $47.313 $40.000 $40.907 $39.063 $26.250 $26.875 Ten-year compound growth For the Year Ended December 31 1994 1993 1992 1991 1990 annual -------------------------------------------------------------------------------------------------- Revenue Annuities 1506.2 1603.8 1336.2 1216.7 1073.7 7.1% Life Insurance 466.2 477.5 444.4 417.3 371.7 17.2% Reinsurance 1267.4 1101.9 1074.6 774.3 741.6 9.1% Investment Management Lincoln UK 216.0 174.9 180.6 169.6 161.1 10.5% Employee Life - Health Benefits 314.9 1297.3 1241.6 2646.3 2454.2 Corporate & Other 161.8 281.7 464.7 300.4 173.2 ------- ------- ------- ------- ------- ------- Total Revenue 3932.5 4937.1 4742.1 5524.6 4975.5 3.3% ======= ======= ======= ======= ======= ======= Income from Operations* Annuities 142.4 127.1 89.4 58.3 55.2 20.7% Life Insurance 34.2 37.8 46.8 31.5 25.9 25.9% Reinsurance 51.6 22.4 38.7 31.4 55.7 14.0% Investment Management Lincoln UK 17.2 11.9 9.2 14.3 13.3 27.0% Employee Life - Health Benefits 14.1 54.3 40.8 43.5 53.2 Corporate & Other (40.9) (55.9) (73.0) (70.7) (90.4) ------- ------- ------- ------- ------- ------- Total Income from Cont Oper 218.6 197.6 151.9 108.3 112.9 21.7% Discontinued Operations 171.1 145.9 88.7 69.4 100.9 ------- ------- ------- ------- ------- ------- Income from Operations 389.7 343.5 240.6 177.7 213.8 12.9% ======= ======= ======= ======= ======= ======= Net Income Annuities 142.4 127.1 89.4 58.3 55.2 20.6% Life Insurance 34.2 37.8 46.8 31.5 25.9 25.4% Reinsurance 52.2 20.7 38.7 31.4 55.7 8.2% Investment Management Lincoln UK 18.5 12.6 9.2 14.3 13.3 Employee Life - Health Benefits 14.4 55.3 40.8 43.5 53.2 Corporate & Other (96.2) (177.1) 45.6 (46.5) (127.6) ------- ------- ------- ------- ------- ------- Total Net Inc from Cont Oper 165.5 76.4 270.5 132.5 75.7 23.4% Discontinued Operations 184.4 242.5 88.7 69.4 100.9 ------- ------- ------- ------- ------- ------- Total Net Income 349.9 318.9 359.2 201.9 176.6 13.4% ------- ------- ------- ------- ------- ------- Cumulative effect of accounting change Total Net Income 349.9 318.9 359.2 201.9 176.6 13.4% ======= ======= ======= ======= ======= ======= OTHER DATA Assets 48864.8 47825.1 39042.2 33660.3 27597.3 13.7% Shareholders' Equity: Securities and Derivatives at Market 3042.1 4072.3 2826.8 2655.8 2279.5 8.1% Securities and Derivatives at Cost 3353.1 3157.6 2664.1 2445.8 2213.2 8.4% Average Equity (Sec & Deriv at Cost) 3288.6 3009.0 2575.0 2335.3 2086.6 8.8% Common Shares Outstanding: (millions) End of Period - Diluted 208.3 208.3 187.7 185.4 176.3 Average for the Period - Diluted 208.7 206.1 186.8 189.2 175.2 Per Share Data (Diluted) Income (Loss) from Continuing Operations $1.05 $0.96 $0.81 $0.57 $0.64 19.1% Income from Operations * $1.87 $1.67 $1.29 $0.94 $1.22 11.7% Net Income from Continuing Operations $0.79 $0.37 $1.45 $0.70 $0.43 22.1% Net Income $1.68 $1.55 $1.92 $1.07 $1.01 12.2% Shareholders' Equity: Shareholders' Equity (Sec & Deriv at Market) $14.67 $19.69 $15.13 $14.35 $12.95 7.2% Shareholders' Equity (Sec & Deriv at Cost) $16.17 $15.27 $14.26 $13.21 $12.57 7.5% Dividends Declared (Common Stock) $0.830 $0.775 $0.738 $0.693 $0.658 6.0% Return on Equity (see page 32) Net Income/Average Equity 10.6% 10.6% 13.9% 8.6% 8.5% Inc from Operations/Average Equity 11.8% 11.4% 9.3% 7.6% 10.2% Market Value of Common Stock High for the Year $22.188 $24.125 $19.032 $13.813 $15.338 Low for the Year $17.313 $17.344 $12.625 $9.500 $7.688 Close for the Year $17.500 $21.750 $18.500 $13.688 $10.750 16.0% * "Income from Operations" is defined as "Net income less realized gain (loss) on investments and associated items, gain (loss) on sale of subsidiaries, restructuring charges, and cumulative effect of accounting changes, all net of taxes." PAGE 6 Quarterly Summary Unaudited [Millions of Dollars except Per Share Data] Sep Dec Mar Jun Sep Dec Mar Jun Sep Dec Mar Jun For the Quarter Ended 1998 1998 1999 1999 1999 1999 2000 2000 2000 2000 2001 2001 Revenue Annuities 493.3 512.9 524.4 533.0 520.5 538.0 548.7 530.5 532.1 522.3 510.4 512.1 Life Insurance 292.8 470.7 424.0 426.3 437.1 473.1 441.7 444.2 453.2 479.9 459.6 455.7 Reinsurance 385.9 457.2 420.6 426.2 404.1 578.8 394.4 457.2 454.4 463.2 508.0 448.7 Investment Management 110.7 127.9 126.8 123.2 118.8 126.6 125.8 120.7 123.8 120.0 112.3 110.3 Lincoln UK 102.8 109.2 119.1 113.1 110.5 103.8 112.8 108.2 112.8 104.3 84.9 68.9 Corporate & Other 32.1 35.9 60.4 56.6 51.1 (12.4) 45.7 31.9 39.7 83.8 23.5 3.3 ------ ------ ------- ------- ------- ------ ------ ------ ------ ------ ------ ------ Total Revenue 1417.6 1714.0 1675.4 1678.3 1642.1 1807.9 1669.2 1692.7 1716.1 1773.5 1698.8 1599.0 ====== ====== ======= ======= ======= ====== ====== ====== ====== ====== ====== ====== Income from Operations* Annuities 65.5 63.2 74.4 75.9 75.4 73.7 88.5 84.1 102.9 86.4 82.3 90.8 Life Insurance 36.2 51.9 48.1 54.4 52.6 57.0 60.4 62.4 66.5 70.6 68.6 67.1 Reinsurance 29.1 25.3 33.8 23.7 2.2 (19.5) 31.9 25.8 28.2 36.6 46.8 34.1 Investment Management 7.4 14.6 15.4 14.3 14.7 16.5 12.4 13.1 9.9 8.7 2.4 3.7 Lincoln UK 17.7 18.8 18.1 19.0 16.2 (67.1) 15.7 19.3 10.6 15.5 14.4 16.2 Corporate & Other (25.1) (34.3) (34.0) (35.6) (29.7) (23.9) (38.3) (31.7) (27.3) (33.1) (35.9) (43.8) ------ ------ ------- ------- ------- ------ ------ ------ ------ ------ ------ ------ Income from Operations 130.7 139.4 155.7 151.8 131.4 36.6 170.6 173.0 190.7 184.7 178.6 168.1 ====== ====== ======= ======= ======= ====== ====== ====== ====== ====== ====== ====== Net Income Annuities 56.0 64.9 76.8 76.4 68.4 69.9 91.2 84.4 93.8 89.2 76.6 79.9 Life Insurance 35.2 45.8 46.3 51.5 54.0 59.7 58.1 58.4 67.4 65.4 62.9 53.5 Reinsurance 24.0 23.9 34.5 24.0 (0.7) (17.1) 33.1 24.7 26.0 38.5 42.0 30.2 Investment Management 3.6 16.4 3.4 14.0 14.4 19.8 12.3 8.4 9.7 6.6 2.0 2.9 Lincoln UK 17.8 19.2 18.0 20.0 16.4 (72.6) 15.5 19.1 (29.9) (17.9) 14.8 17.6 Corporate & Other (23.1) (44.6) (33.9) (37.6) (20.2) (25.1) (39.9) (31.4) (28.3) (32.8) (38.1) (42.4) ------ ------ ------- ------- ------- ------ ------ ------ ------ ------ ------ ------ Total Net Income 113.4 125.6 145.1 148.4 132.3 34.6 170.2 163.6 138.6 148.9 160.2 141.7 ====== ====== ======= ======= ======= ====== ====== ====== ====== ====== ====== ====== OTHER DATA Assets 84606.2 93836.3 95350.3 98261.4 96500.7 103095.7 106340.0 103847.6 103243.1 99844.1 94122.4 96431.2 Shareholders' Equity Beg of Period (Sec & Deriv at Market) 5054.2 5527.6 5387.9 5107.4 4817.4 4662.2 4263.9 4340.4 4223.7 4538.6 4954.1 5096.4 End of Period (Sec & Deriv at Market) 5527.6 5387.9 5107.4 4817.4 4662.2 4263.9 4340.4 4223.7 4538.6 4954.1 5096.4 5055.9 End of Period (Sec & Deriv at Cost) 4753.9 4835.6 4852.8 4818.5 4766.0 4729.6 4751.6 4780.3 4876.3 4942.0 4882.7 4952.8 Average Equity (Sec & Deriv at Cost) 4718.3 4795.4 4872.5 4834.2 4793.9 4774.2 4791.5 4753.0 4867.2 4915.7 4953.7 4920.2 Common Shares Outstanding Average for the Period - Diluted 203.9 203.3 203.6 201.9 199.0 197.1 195.8 194.0 195.6 195.6 193.7 192.0 End of Period - Diluted 203.9 203.4 203.2 200.9 196.9 197.0 195.1 193.7 196.2 195.2 191.3 192.9 Per Share Data (Diluted) Income from Operations * $0.64 $0.69 $0.76 $0.75 $0.66 $0.19 $0.87 $0.89 $0.98 $0.94 $0.92 $0.88 Net Income $0.56 $0.62 $0.71 $0.73 $0.66 $0.18 $0.87 $0.84 $0.71 $0.76 $0.83 $0.74 Shareholders' Equity Shareholders' Equity (Sec & Deriv at Market $27.28 $26.59 $25.30 $24.18 $23.76 $21.76 $22.45 $22.10 $23.67 $25.92 $27.09 $26.87 Shareholders' Equity (Sec & Deriv at Cost) $23.47 $23.86 $24.04 $24.18 $24.28 $24.14 $24.58 $25.01 $25.43 $25.85 $25.96 $26.32 Dividends Declared (Com Stk) $0.260 $0.275 $0.275 $0.275 $0.275 $0.290 $0.290 $0.290 $0.290 $0.305 $0.305 $0.305 Return on Equity (see page 32) Net Income/ Average Equity 9.6% 10.5% 11.9% 12.3% 11.0% 2.9% 14.2% 13.8% 11.4% 12.1% 12.9% 11.5% Inc from Operations/ Average Equity 11.1% 11.6% 12.8% 12.6% 11.0% 3.1% 14.2% 14.6% 15.7% 15.0% 14.4% 13.7% Market Value of Common Stock Highest Price $49.438 $43.344 $50.250 $53.438 $57.500 $48.313 $41.375 $40.063 $56.375 $50.938 $48.250 $52.300 Lowest Price $41.125 $33.500 $39.281 $45.688 $36.000 $36.500 $22.625 $29.000 $35.625 $40.875 $38.000 $41.280 ------- ------ ------- ------- ------- ------ ------ ------ ------ ------ ------ ------- Closing Price $41.125 $40.906 $49.438 $52.313 $37.563 $40.000 $33.500 $36.125 $48.125 $47.313 $42.470 $51.750 ------- ------ ------- ------- ------- ------ ------ ------ ------ ------ ------ ------- * "Income from Operations" is defined as "net income less realized gain (loss) on investments and associated items, gain (loss) on sale of subsidiaries, restructuring charges, and cumulative effect of accounting changes, all net of taxes." 6/30/2001 PAGE 7 Reconciliation of Business Segments to Consolidated Income Statement Unaudited [Millions of Dollars] Investment For the Quarter Ended June 30 Annuities Life Insurance Reinsurance Management Jun Jun Jun Jun Jun Jun Jun Jun 2001 2000 2001 2000 2001 2000 2001 2000 Operating Revenue Life and annuity premiums 32.5 16.8 50.7 56.3 261.9 229.1 Surrender charges 8.5 11.2 13.5 16.5 0.4 1.4 Mortality assessments 124.8 114.5 0.0 0.0 Expense assessments 138.0 155.7 45.3 44.1 (0.0) (0.0) Health premiums 0.0 0.0 94.9 142.6 Investment advisory fees 72.7 80.2 Other revenue and fees 3.9 0.6 3.8 3.6 15.0 11.9 25.7 31.0 Net investment income 339.3 345.8 227.4 215.5 79.2 73.7 13.0 12.6 Earnings in Unconsolidated Affiliates 0.0 0.2 ----- ----- ----- ------ ------ ----- ----- ----- Operating Revenue 522.1 530.1 465.5 450.5 451.4 458.9 111.4 123.8 ----- ----- ----- ------ ------ ----- ----- ----- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 72.6 65.7 103.5 96.3 181.6 173.5 Div accum & div to policyholders 19.0 18.7 1.2 1.5 Interest credited to policy bal. 209.7 219.4 141.2 128.7 8.7 8.6 Health policy benefits 0.0 0.0 89.6 116.8 Underwriting, acquisition, insurance and other expenses 126.0 139.8 92.0 100.9 115.8 117.2 101.6 99.3 Goodwill amortization 0.3 0.3 5.9 5.9 0.4 0.4 4.1 4.1 Interest 2.3 2.7 0.0 ----- ----- ----- ------ ------ ----- ----- ----- Operating Benefits and Expenses 408.6 425.2 361.7 350.6 399.7 420.6 105.7 103.3 ----- ----- ----- ------ ------ ----- ----- ----- Income from Operations Before 113.6 104.8 103.8 99.9 51.7 38.2 5.7 20.5 Tax Federal income taxes 22.8 20.7 36.7 37.4 17.6 12.4 2.0 7.4 ----- ----- ----- ------ ------ ----- ----- ----- Income from Operations 90.8 84.1 67.1 62.4 34.1 25.8 3.7 13.1 ----- ----- ----- ------ ------ ----- ----- ----- Restructuring charges (0.6) (2.0) (2.7) Realized gains (losses) on investments (6.7) 0.3 (6.4) (4.0) (1.7) (1.1) (0.7) (2.0) Gains (losses) on derivatives 0.1 0.1 (0.0) ----- ----- ----- ------ ------ ----- ----- ----- Income before Accounting Changes 83.6 84.4 58.8 58.4 32.4 24.7 3.0 8.4 Cumulative effect of accounting (3.7) (5.3) (2.2) (0.1) changes ----- ----- ----- ------ ------ ----- ----- ----- Net Income 79.9 84.4 53.5 58.4 30.2 24.7 2.9 8.4 ===== ===== ===== ====== ====== ===== ===== ===== Inc. from Oper.-before Goodwill Amort. 91.1 84.4 73.0 68.4 34.6 26.3 7.7 17.1 ----- ----- ----- ------ ------ ----- ----- ----- Corporate and Consolidating Lincoln UK Other Operations Adjustments Consolidated Jun Jun Jun Jun Jun Jun Jun Jun 2001 2000 2001 2000 2001 2000 2001 2000 Operating Revenue Life and annuity premiums 8.8 34.8 353.9 337.1 Surrender charges 0.5 0.7 22.8 29.8 Mortality assessments 8.9 8.0 133.7 122.5 Expense assessments 31.4 44.3 12.8 14.5 227.5 258.6 Health premiums 0.7 1.5 0.0 0.0 95.7 144.0 Investment advisory fees (23.1) (28.0) 49.6 52.2 Other revenue and fees 0.1 1.3 68.2 83.6 (56.3) (43.2) 60.3 88.7 Net investment income 16.9 18.5 22.7 21.9 (25.6) (14.3) 673.1 673.8 Earnings in Unconsolidated Affiliates (3.8) 0.0 (3.6) ----- ----- ----- ------ ------ ----- ----- ------ Operating Revenue 66.9 108.4 91.0 101.7 (91.7) (70.3) 1616.5 1703.0 ----- ----- ----- ------ ------ ----- ----- ------ Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 15.9 34.6 373.6 370.1 Div accum & div to policyholders 20.2 20.2 Interest credited to policy bal. 10.0 10.2 369.7 366.8 Health policy benefits 2.0 2.9 (0.1) 0.2 91.5 119.9 Underwriting, acquisition, insurance and other expenses 29.7 43.5 102.5 97.6 (76.1) (60.9) 491.4 537.5 Goodwill amortization 0.2 1.3 (0.0) 10.9 12.0 Interest 55.3 55.4 (25.6) (22.7) 32.0 35.4 ----- ----- ----- ------ ------ ----- ------ ------ Operating Benefits and Expenses 47.7 82.2 157.7 153.2 (91.7) (73.4) 1389.3 1461.9 ----- ----- ----- ------ ------ ----- ------ ------ Income from Operations Before 19.1 26.2 (66.7) (51.5) 0.0 3.1 227.2 241.1 Tax Federal income taxes 2.9 6.9 (22.9) (17.0) (0.0) 59.1 67.9 ----- ----- ----- ------ ------ ----- ------ ------ Income from Operations 16.2 19.3 (43.8) (34.8) 0.0 3.1 168.1 173.0 ----- ----- ----- ------ ------ ----- ------ ------ Restructuring charges (1.2) (3.9) (2.7) Realized gains (losses) on investments 1.4 (0.1) 1.9 10.8 0.8 (10.5) (11.5) (6.7) Gains (losses) on derivatives (0.1) 0.2 ----- ----- ----- ------ ------ ----- ------ ------ Income before Accounting Changes 17.6 19.1 (43.2) (24.0) 0.8 (7.4) 153.0 163.6 Cumulative effect of accounting changes (11.3) ----- ----- ----- ------ ------ ----- ------ ------ Net Income 17.6 19.1 (43.2) (24.0) 0.8 (7.4) 141.7 163.6 ===== ===== ===== ====== ====== ===== ====== ====== Inc. from Oper.-before Goodwill Amort. 16.4 20.5 (43.8) (34.8) 3.1 179.0 185.0 ----- ----- ----- ------ ------ ----- ------ ------ 6/30/2001 PAGE 7 A Reconciliation of Business Segments to Consolidated Income Statement Unaudited [Millions of Dollars] Investment For the Six Months Ended June 30 Annuities Life Insurance Reinsurance Management Jun Jun Jun Jun Jun Jun Jun Jun 2001 2000 2001 2000 2001 2000 2001 2000 Operating Revenue Life and annuity premiums 51.6 30.0 101.5 109.2 581.9 456.5 Surrender charges 17.5 22.3 30.6 32.7 1.2 2.0 Mortality assessments 249.1 226.7 0.0 0.0 Expense assessments 279.5 310.8 92.7 89.4 (0.0) (0.0) Health premiums 0.1 0.1 199.1 199.5 Investment advisory fees 145.3 161.2 Other revenue and fees 5.6 2.8 8.9 6.8 26.2 27.7 52.0 62.9 Net investment income 680.7 708.7 450.4 431.2 157.1 164.7 27.1 25.6 Earnings in Unconsolidated Affiliates 0.9 1.2 ------ ------ ----- ----- ----- ----- ----- ----- Operating Revenue 1034.9 1074.6 933.4 896.0 966.5 851.6 224.4 249.8 ------ ------ ----- ----- ----- ----- ----- ----- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 142.4 127.3 203.4 194.6 411.1 338.9 Div accum & div to policyholders 36.6 39.1 2.5 2.8 Interest credited to policy bal. 419.1 447.5 279.5 255.0 17.9 17.5 Health policy benefits 0.0 0.1 187.1 226.9 Underwriting, acquisition, insurance and other expenses 260.6 284.4 190.8 200.3 219.6 177.3 206.4 201.8 Goodwill amortization 0.6 (1.2) 11.8 11.8 0.9 0.9 8.1 8.1 Interest 5.1 5.0 0.0 ------ ------ ----- ----- ----- ----- ----- ----- Operating Benefits and Expenses 822.7 858.0 722.1 700.9 844.2 769.2 214.5 209.9 ------ ------ ----- ----- ----- ----- ----- ----- Income from Operations Before 212.2 216.6 211.2 195.1 122.3 82.4 9.9 39.9 Tax Federal income taxes 39.1 44.0 75.5 72.2 41.4 24.7 3.8 14.3 ------ ------ ----- ----- ----- ----- ----- ----- Income from Operations 173.1 172.6 135.7 122.9 80.9 57.7 6.1 25.5 ------ ------ ----- ----- ----- ----- ----- ----- Restructuring charges (1.3) (2.0) (2.7) Realized gains (losses) on investments (8.1) 3.0 (11.8) (6.4) (6.4) 0.1 (1.2) (2.1) Gains (losses) on derivatives 0.0 0.1 0.0 ------ ------ ----- ----- ----- ----- ----- ----- Income before Accounting Changes 163.8 175.6 122.0 116.5 74.6 57.8 4.9 20.7 Cumulative effect of accounting (7.3) (5.5) (2.4) (0.1) changes ------ ------ ----- ----- ----- ----- ----- ----- Net Income 156.5 175.6 116.5 116.5 72.2 57.8 4.8 20.7 ====== ====== ===== ===== ===== ===== ===== ===== Inc. from Oper.-before Goodwill Amort. 173.7 171.4 147.6 134.7 81.8 58.6 14.2 33.6 ------ ------ ----- ----- ----- ----- ----- ----- Corporate and Consolidating Lincoln UK Other Operations Adjustments Consolidated Jun Jun Jun Jun Jun Jun Jun Jun 2001 2000 2001 2000 2001 2000 2001 2000 Operating Revenue Life and annuity premiums 21.0 72.4 756.0 668.2 Surrender charges 1.2 1.5 50.6 58.5 Mortality assessments 18.3 14.2 267.4 241.0 Expense assessments 75.1 90.9 25.0 28.7 472.4 519.7 Health premiums 1.4 2.9 0.0 0.0 200.5 202.5 Investment advisory fees (46.2) (55.1) 99.0 106.1 Other revenue and fees 0.7 3.7 143.2 178.2 (94.2) (87.2) 142.3 194.8 Net investment income 34.8 37.4 46.0 45.5 (49.3) (28.2) 1346.8 1385.0 Earnings in Unconsolidated Affiliates (3.8) 0.9 (2.6) ------ ------ ----- ----- ----- ----- ----- ----- Operating Revenue 151.2 221.6 189.1 219.9 (163.5) (140.3) 3336.0 3373.2 ------ ------ ----- ----- ----- ----- ----- ----- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 35.7 65.3 792.5 726.2 Div accum & div to policyholders 39.1 41.9 Interest credited to policy bal. 20.2 20.6 736.7 740.7 Health policy benefits 6.2 7.1 (0.1) 0.2 193.3 234.2 Underwriting, acquisition, insurance and other expenses 70.8 99.9 206.8 218.7 (138.8) (119.3) 1016.2 1063.2 Goodwill amortization 0.3 2.6 (0.0) 21.7 22.2 Interest 110.7 111.5 (49.3) (44.7) 66.5 71.7 ------ ------ ----- ----- ----- ----- ----- ----- Operating Benefits and Expenses 113.0 175.0 317.4 330.4 (167.8) (143.3) 2866.1 2900.1 ------ ------ ----- ----- ----- ----- ----- ----- Income from Operations Before 38.2 46.5 (128.3) (110.5) 4.3 3.1 469.9 473.1 Tax Federal income taxes 7.6 11.6 (45.5) (37.4) 1.3 (0.0) 123.2 129.5 ------ ------ ----- ----- ----- ----- ----- ----- Income from Operations 30.6 35.0 (82.7) (73.1) 3.0 3.1 346.7 343.6 ------ ------ ----- ----- ----- ----- ----- ----- Restructuring charges (1.2) (4.5) (2.7) Realized gains (losses) on investments 1.8 (0.4) 0.0 9.2 0.8 (10.5) (24.8) (7.1) Gains (losses) on derivatives 0.1 ------ ------ ----- ----- ----- ----- ----- ----- Income before Accounting Changes 32.4 34.6 (83.9) (63.9) 3.8 (7.4) 317.5 333.8 Cumulative effect of accounting changes (0.3) (15.6) ------ ------ ----- ----- ----- ----- ----- ----- Net Income 32.4 34.6 (84.3) (63.9) 3.8 (7.4) 301.9 333.8 ====== ====== ===== ===== ===== ===== ===== ===== Inc. from Oper.-before Goodwill Amort 30.9 37.6 (82.7) (73.1) 3.0 3.1 368.5 365.9 ------ ------ ----- ----- ----- ----- ----- ----- Statement of Consolidated Income Unaudited [Millions of Dollars] For the Year Ended December 31 1996 -------------------------------------------------------------------------------------------------------- Operating Revenue Life and annuity premiums 728.7 Surrender charges 40.9 Mortality assessments 180.8 Expense assessments 491.8 Health premiums 790.4 Investment advisory fees 180.8 Other revenue and fees 138.2 Net investment income 2087.9 Earnings in Unconsolidated Affiliates 1.4 ------- Operating Revenue 4641.1 ------- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 835.7 Div accum & div to policyholders 33.4 Interest credited to policy bal. 1167.2 Health policy benefits 673.6 Underwriting, acquisition, insurance and other expenses 1417.0 Goodwill amortization 13.9 Interest 84.7 ------- Operating Benefits and Expenses 4225.4 ------- Income from Operations Before Tax 415.7 Federal income taxes 116.9 ------- Income from Continuing Operations 298.8 ------- Discontinued Operations 157.2 Restructuring charges Realized gains (losses) on investments 57.6 Gains(losses) on derivatives ------- Income before Accounting Changes 513.6 Cumulative Effect of Accounting Changes ------- Net Income 513.6 ======= For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 -------------------------------------------------------------------------------------------------------- Operating Revenue Life and annuity premiums 230.8 348.0 284.2 274.0 263.8 361.1 Surrender charges 21.5 26.9 25.5 27.1 28.4 29.2 Mortality assessments 67.7 130.0 137.3 122.2 118.2 118.7 Expense assessments 201.9 198.2 215.3 231.5 245.9 238.3 Health premiums 155.8 164.5 154.9 160.3 149.6 233.6 Investment advisory fees 52.5 57.5 58.8 56.3 54.6 54.1 Other revenue and fees 64.8 76.4 86.4 109.0 77.9 71.2 Net investment income 649.6 714.7 709.5 700.8 697.1 700.1 Earnings in Unconsolidated Affiliates (0.2) 1.3 1.6 1.1 1.2 1.8 ------- ------- ------- ------- ------- ------- Operating Revenue 1444.3 1717.6 1673.4 1682.4 1636.7 1808.2 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 264.3 440.0 344.6 335.5 294.0 572.5 Div accum & div to policyholders 20.7 27.9 21.5 22.5 21.2 23.3 Interest credited to policy bal. 338.5 380.6 375.1 377.1 369.7 388.5 Health policy benefits 142.6 131.0 145.5 166.6 189.8 157.8 Underwriting, acquisition, insurance and other expenses 463.1 491.2 522.4 532.1 533.4 630.5 Goodwill amortization 9.2 16.0 11.8 9.9 12.9 14.6 Interest 32.5 33.5 33.1 32.6 33.3 34.7 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 1271.0 1520.3 1454.1 1476.3 1454.1 1821.8 ------- ------- ------- ------- ------- ------- Income from Operations before Tax/Min Int. 173.4 197.4 219.3 206.1 182.6 (13.6) Federal income taxes 42.6 58.0 63.6 54.2 51.2 (50.2) ------- ------- ------- ------- ------- ------- Inc from Operations before Min Int 130.7 139.4 155.7 151.8 131.4 36.6 ------- ------- ------- ------- ------- ------- Minority Interest ------- ------- ------- ------- ------- ------- Income from Operations 130.7 139.4 155.7 151.8 131.4 36.6 ------- ------- ------- ------- ------- ------- Restructuring charges (14.3) (12.1) (3.2) (3.6) Realized gains (losses) on investments (17.3) 0.5 1.5 (3.5) 4.1 1.6 Gains (losses) on derivatives ------- ------- ------- ------- ------- ------- Income before Accounting Changes 113.4 125.6 145.1 148.4 132.3 34.6 Cumulative Effect of Accounting Changes ------- ------- ------- ------- ------- ------- Net Income 113.4 125.6 145.1 148.4 132.3 34.6 ======= ======= ======= ======= ======= ======= YTD YTD Jun Jun For the Year Ended December 31 1997 1998 1999 2000 2000 2001 ------------------------------------------------------------------------------------------------------- Operating Revenue Life and annuity premiums 756.2 985.6 1183.0 1403.3 668.2 756.0 Surrender charges 45.4 91.5 110.2 114.7 58.5 50.6 Mortality assessments 186.4 380.1 496.4 496.5 241.0 267.4 Expense assessments 600.3 803.0 930.9 1050.2 519.7 472.4 Health premiums 572.6 635.1 698.5 409.8 202.5 200.5 Investment advisory fees 204.9 227.1 223.8 213.1 106.1 99.0 Other revenue and fees 157.3 261.0 344.5 445.4 194.8 142.3 Net investment income 2250.8 2681.4 2807.5 2747.1 1385.0 1346.8 Earnings in Unconsolidated Affiliates 2.1 3.3 5.8 (0.4) (2.6) 0.9 ------- ------- ------- ------- ------- ------- Operating Revenue 4775.9 6068.0 6800.7 6879.8 3373.2 3336.0 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 1090.2 1237.7 1546.6 1546.4 726.2 792.5 Div accum & div to policyholders 29.7 78.0 88.4 87.6 41.9 39.1 Interest credited to policy bal. 1238.7 1446.2 1510.4 1474.2 740.7 736.7 Health policy benefits 833.1 566.9 659.7 449.0 234.2 193.3 Underwriting, acquisition, insurance and other expenses 1557.3 1844.2 2218.5 2168.4 1063.2 1016.2 Goodwill amortization 15.6 44.5 49.2 45.1 22.2 21.7 Interest 92.5 117.1 133.7 139.5 71.7 66.5 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 4857.2 5334.6 6206.4 5910.3 2900.1 2866.1 ------- ------- ------- ------- ------- ------- Income from Operations Before Tax (81.3) 733.4 594.4 969.6 473.1 469.9 Federal income taxes (30.6) 203.0 118.9 250.5 129.5 123.2 ------- ------- ------- ------- ------- ------- Income from Continuing Operations (50.6) 530.4 475.5 719.1 343.6 346.7 ------- ------- ------- ------- ------- ------- Discontinued Operations 911.8 Restructuring charges (34.3) (18.9) (80.2) (2.7) (4.5) Realized gains (losses) on investments 72.9 13.7 3.8 (17.5) (7.1) (24.8) Gains(losses) on derivatives 0.1 ------- ------- ------- ------- ------- ------- Income before Accounting Changes 934.0 509.8 460.4 621.4 333.8 317.5 Cumulative Effect of Accounting Changes (15.6) ------- ------- ------- ------- ------- ------- Net Income 934.0 509.8 460.4 621.4 333.8 301.9 ======= ======= ======= ======= ======= ======= For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------------------- Operating Revenue Life and annuity premiums 331.2 337.1 339.0 396.1 402.1 353.9 Surrender charges 28.7 29.8 25.9 30.3 27.8 22.8 Mortality assessments 118.5 122.5 125.9 129.6 133.7 133.7 Expense assessments 261.1 258.6 273.4 257.1 244.9 227.5 Health premiums 58.4 144.0 117.9 89.4 104.8 95.7 Investment advisory fees 54.0 52.2 53.3 53.6 49.4 49.6 Other revenue and fees 106.1 88.7 106.0 144.6 82.0 60.3 Net investment income 711.1 673.8 690.0 672.1 673.7 673.1 Earnings in Unconsolidated Affiliates 1.0 (3.6) 1.6 0.6 0.9 0.0 ------- ------- ------- ------- ------- ------- Operating Revenue 1670.2 1703.0 1733.1 1773.5 1719.5 1616.5 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Ins. benefits paid or provided: Life and annuity policy benefits 356.1 370.1 390.2 430.0 418.9 373.6 Div accum & div to policyholders 21.7 20.2 18.2 27.4 18.9 20.2 Interest credited to policy bal. 373.9 366.8 362.0 371.5 367.1 369.7 Health policy benefits 114.3 119.9 123.0 91.8 101.8 91.5 Underwriting, acquisition, insurance and other expenses 525.7 537.5 532.4 572.9 524.8 491.4 Goodwill amortization 10.2 12.0 12.0 10.9 10.9 10.9 Interest 36.3 35.4 34.4 33.4 34.4 32.0 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 1438.2 1461.9 1472.2 1537.9 1476.7 1389.3 ------- ------- ------- ------- ------- ------- Income from Operations before Tax/Min Int. 232.0 241.1 260.8 235.6 242.7 227.2 Federal income taxes 61.6 67.9 70.1 50.9 64.1 59.1 ------- ------- ------- ------- ------- ------- Inc from Operations before Min Int 170.4 173.2 190.7 184.7 178.6 168.1 ------- ------- ------- ------- ------- ------- Minority Interest (0.2) 0.2 (0.0) 0.0 (0.0) (0.0) ------- ------- ------- ------- ------- ------- Income from Operations 170.6 173.0 190.7 184.7 178.6 168.1 ------- ------- ------- ------- ------- ------- Restructuring charges (2.7) (40.5) (37.0) (0.7) (3.9) Realized gains (losses) on investments (0.4) (6.7) (11.6) 1.2 (13.4) (11.5) Gains (losses) on derivatives (0.1) 0.2 ------- ------- ------- ------- ------- ------- Income before Accounting Changes 170.2 163.6 138.6 148.9 164.5 153.0 Cumulative Effect of Accounting Changes (4.3) (11.3) ------- ------- ------- ------- ------- ------- Net Income 170.2 163.6 138.6 148.9 160.2 141.7 ======= ======= ======= ======= ======= ======= 6/30/2001 PAGE 9 Reconciliation of Business Segments to Consolidated Balance Sheets Unaudited [Millions of Dollars] Investment Annuities Life Insurance Reinsurance Management ASSETS Jun Dec Jun Dec Jun Dec Jun Dec 2001 2000 2001 2000 2001 2000 2001 2000 Investments Corporate bonds 9346.8 8892.4 6885.6 6353.6 2647.1 2573.3 372.6 333.6 U.S. government bonds 13.1 25.8 76.0 86.4 271.9 275.5 0.2 0.2 Foreign government bonds 116.4 135.5 122.8 125.8 62.0 71.1 Asset/Mortgage backed securities 2104.8 2299.7 752.9 829.3 253.6 262.3 40.1 49.0 State and municipal bonds 5.8 6.3 8.0 7.9 0.3 0.3 Preferred stocks-redeemable 117.4 120.5 20.8 24.6 4.3 4.3 9.8 9.6 Common stocks 13.4 13.6 2.2 Preferred stocks-equity 38.8 45.8 7.1 9.2 1.1 1.1 2.6 2.4 Mortgage loans 2270.4 2324.0 1761.5 1765.9 369.5 360.9 89.7 95.5 Real estate Policy loans 505.1 509.9 1433.5 1440.5 Other long-term investments 7.7 5.2 17.2 16.9 20.5 25.0 ------- ------- ------- ------- ------ ------ ------- ------- Total Investments 14526.3 14365.2 11098.7 10673.8 3630.2 3576.1 515.0 490.4 ======= ======= ======= ======= ====== ====== ======= ======= Intercompany investments 3977.6 4039.2 1327.6 1598.4 455.4 535.8 213.7 249.1 Invest in unconsol affiliates 6.1 6.4 Cash and invested cash (0.9) (108.8) (140.8) (67.2) 67.1 148.3 60.3 68.6 Property and equipment 7.1 7.0 15.1 13.8 32.1 22.6 Premium and fees receivable (1.0) (1.8) 23.0 45.6 240.1 214.2 41.1 34.4 Accrued investment income 221.8 210.8 191.2 169.5 54.8 52.7 7.7 7.8 Assets held in separate accounts 36722.0 39322.1 1318.7 1270.1 Federal income tax recoverable Amount recoverable from reinsurers 1204.8 1309.5 1007.2 989.1 1611.3 1616.5 Deferred acquisition costs 831.3 812.5 1151.1 1079.3 476.6 459.6 Other intangible assets 160.4 169.2 999.9 1040.5 12.1 12.8 54.6 60.9 Goodwill 44.6 45.2 866.9 878.7 32.8 33.7 308.8 316.9 Other 165.5 104.1 277.9 254.3 371.2 356.7 191.5 188.6 ------- ------- ------- ------- ------ ------ ------- ------- Total Assets 57852.4 60267.1 18128.6 17939.1 6972.8 7026.6 1424.9 1439.0 ======= ======= ======= ======= ====== ====== ======= ======= Consolidating Lincoln UK Other Operations Adjustments Consolidated ASSETS Jun Dec Jun Dec Jun Dec Jun Dec 2001 2000 2001 2000 2001 2000 2001 2000 Investments Corporate bonds 375.3 457.6 2489.3 2639.1 22116.6 21249.7 U.S. government bonds 148.8 154.9 510.0 542.9 Foreign government bonds 380.7 444.8 554.4 543.9 1236.3 1321.1 Asset/Mortgage backed securities 693.2 720.1 3844.6 4160.4 State and municipal bonds 14.1 14.6 Preferred stocks-redeemable 2.2 152.2 161.2 Common stocks 251.8 265.2 108.1 155.6 373.3 436.6 Preferred stocks-equity 111.3 54.5 160.8 113.1 Mortgage loans 0.3 0.3 161.5 116.3 4652.8 4663.0 Real estate 0.2 0.3 308.0 283.0 (1.3) (1.3) 306.9 282.0 Policy loans 8.8 10.5 1947.4 1960.9 Other long-term investments 1685.5 1666.2 (1250.0) (1250.0) 480.9 463.3 ------- ------- ------- ------- ------ ------ ------- ------- Total Investments 1017.0 1178.8 6260.0 6335.8 (1251.3) (1251.3) 35796.0 35368.6 ======= ======= ======= ======= ====== ====== ======= ======= Intercompany investments (1085.3) (1245.8) (4889.0) (5176.7) 0.1 (0.0) Invest in unconsol affiliates 6.1 6.4 Cash and invested cash 241.7 253.5 1274.5 1830.5 (197.5) 1501.9 1927.4 Property and equipment 40.6 50.8 156.4 134.0 251.4 228.2 Premium and fees receivable 7.1 1.4 (6.7) 3.0 303.7 296.7 Accrued investment income 16.8 22.8 80.9 82.8 573.2 546.4 Assets held in separate accounts 5768.4 6440.9 3331.1 3546.7 47140.2 50579.9 Federal income tax recoverable 177.5 207.5 177.5 207.5 Amount recoverable from reinsurers 33.1 33.0 (194.4) (200.3) 3662.0 3747.7 Deferred acquisition costs 583.4 635.0 2.7 2.9 84.0 81.1 3129.1 3070.5 Other intangible assets 251.9 273.6 1479.0 1557.0 Goodwill 12.1 13.0 (1.6) (1.6) 1263.6 1286.0 Other 57.3 (104.9) 661.1 545.1 (576.9) (322.2) 1147.6 1021.6 ------- ------- ------- ------- ------ ------ ------- ------- Total Assets 7989.2 8763.7 7390.7 7719.7 (3327.3) (3311.2) 96431.2 99844.1 ======= ======= ======= ======= ====== ====== ======= ======= Reconciliation of Business Segments to Consolidated Balance Sheets Unaudited [Millions of Dollars] Investment Annuities Life Insurance Reinsurance Management -------------------------------------------------------------------------------- LIABILITIES and SHAREHOLDERS' EQUITY Jun Dec Jun Dec Jun Dec Jun Dec 2001 2000 2001 2000 2001 2000 2001 2000 ------------------------------------------------------------------------------------------------------------------------------ Liabilities Insurance and Inv Contract Liabilities: Life and annuity reserves 2598.2 2686.4 13000.0 12783.9 1018.1 944.9 Health reserves 0.1 0.1 2455.6 2442.1 Unpaid claims - life and health 8.7 7.1 61.2 108.1 1017.3 1154.4 Unearned premiums 0.0 0.1 19.2 46.4 Premium deposit funds 16403.2 16331.4 14.9 13.9 685.7 753.2 Participating policyholders' funds 135.2 139.4 Other policyholders' funds 532.7 515.4 8.7 6.8 Liab related to separate accounts 36722.0 39322.1 1318.7 1270.1 ------- ------- -------- ------- ------- ------- -------- ------- Total Insurance and Inv Contract Liabilities 55732.1 58347.0 15062.8 14830.9 5204.5 5347.8 Federal income taxes 23.3 (108.7) (54.7) (113.7) 58.9 31.7 37.1 28.3 Short-term debt 225.7 224.0 5.8 Long-term debt Minority Interest in pref. securities of sub. Other liabilities 272.4 274.4 414.1 567.9 409.0 303.5 839.2 859.1 ------- ------- -------- ------- ------- ------- -------- ------- Total Liabilities 56027.8 58512.7 15422.2 15285.2 5898.1 5906.9 882.0 887.4 ------- ------- -------- ------- ------- ------- -------- ------- Net unrealized gains (losses) on securities 30.6 (44.7) (21.4) (44.9) 11.5 5.3 0.9 (0.5) Gains (losses) on derivatives (1.1) 4.6 0.1 Other shareholders' equity 1792.2 1799.1 2712.3 2698.8 1063.0 1114.3 541.9 552.2 Cumulative effect of accounting change 2.8 10.9 0.1 ------- ------- -------- ------- ------- ------- -------- ------- Shareholders' Equity 1824.6 1754.4 2706.4 2653.9 1074.7 1119.7 542.9 551.6 ------- ------- -------- ------- ------- ------- -------- ------- Total Liabilities and S/Hs' Equity 57852.4 60267.1 18128.6 17939.1 6972.8 7026.6 1424.9 1439.0 ======= ======= ======== ======= ======= ======= ======== ======= Consolidating Consolidated Lincoln UK Other Operations Adjustments Consolidated -------------------------------------------------------------------------------- LIABILITIES and SHAREHOLDERS' EQUITY Jun Dec Jun Dec Jun Dec Jun Dec 2001 2000 2001 2000 2001 2000 2001 2000 ------------------------------------------------------------------------------------------------------------------------------ Liabilities Insurance and Inv Contract Liabilities: Life and annuity reserves 1364.5 1529.1 0.0 (115.6) (103.2) 17865.3 17841.2 Health reserves 47.1 50.7 31.1 30.9 2533.9 2523.8 Unpaid claims - life and health 48.7 46.6 0.6 0.5 (0.0) 1136.5 1316.6 Unearned premiums (0.2) (0.0) 19.0 46.5 Premium deposit funds 29.8 32.9 0.0 582.3 584.0 17715.9 17715.5 Participating policyholders' funds 135.2 139.4 Other policyholders' funds 541.4 522.2 Liab related to separate accounts 5768.4 6440.9 3331.1 3546.7 47140.2 50579.9 ------- ------- -------- ------- ------- ------- -------- ------- Total Insurance and Inv Contract Liabilities 7258.5 8100.3 31.5 31.4 3797.8 4027.6 87087.2 90685.1 Federal income taxes (0.6) 3.1 (240.6) (47.5) 176.7 206.7 Short-term debt 437.6 525.9 (317.8) (436.9) 351.3 312.9 Long-term debt 1962.4 1962.2 (1250.0) (1250.0) 712.4 712.2 Minority Interest in pref. securities of sub. of sub. 745.0 745.0 745.0 745.0 Other liabilities 148.6 167.4 1217.8 941.2 (821.7) (678.7) 2479.4 2434.7 ------- ------- -------- ------- ------- ------- -------- ------- Total Liabilities 7406.5 8270.8 4153.6 4158.2 1585.1 1868.7 91375.3 94890.0 ------- ------- -------- ------- ------- ------- -------- ------- Net unrealized gains (losses) on securities 22.5 52.6 30.7 39.7 1.3 4.5 76.2 12.0 Gains (losses) on derivatives 5.8 9.4 Other shareholders' equity 560.2 440.2 3196.8 3521.8 (4913.7) (5184.4) 4952.8 4942.0 Cumulative effect of accounting change 3.7 17.6 ------- ------- -------- ------- ------- ------- -------- ------- Shareholders' Equity 582.7 492.8 3237.1 3561.5 (4912.4) (5179.9) 5055.9 4954.1 ------- ------- -------- ------- ------- ------- -------- ------- Total Liabilities and S/Hs' Equity 7989.2 8763.7 7390.7 7719.7 (3327.3) (3311.2) 96431.2 99844.1 ======= ======= ======== ======= ======= ======= ======== ======= 6/30/2001 PAGE 11 Five Year Comparative Balance Sheet Unaudited [Millions of Dollars except Common Share Data] ASSETS 1996 1997 1998 1999 2000 Investments Corporate bonds 15451.0 16633.3 22505.2 21119.5 21249.7 U.S. government bonds 1305.1 662.4 1134.6 538.3 542.9 Foreign government bonds 1781.4 1804.4 1321.2 1447.5 1321.1 Mortgage backed securities 5144.5 4529.3 5080.5 4404.0 4160.4 State and municipal bonds 237.2 241.4 16.7 14.7 14.6 Preferred stocks-redeemable 177.4 195.5 174.6 164.7 161.2 Common stocks 486.3 572.3 463.1 514.5 436.6 Preferred stocks-equity 71.2 88.2 79.8 89.5 113.1 Mortgage loans 3240.7 3288.1 4393.1 4735.4 4663.0 Real estate 655.0 576.0 488.7 256.2 282.0 Policy loans 734.8 763.1 1840.0 1892.4 1960.9 Other long-term investments 445.3 464.8 432.0 401.8 463.3 ------- ------- ------- ------- ------- Total Investments 29730.0 29818.8 37929.5 35578.4 35368.6 ------- ------- ------- ------- ------- Invest in unconsol affiliates 21.0 21.0 18.8 25.8 6.4 Cash and invested cash 1144.8 3794.7 2433.4 1895.9 1927.4 Property and equipment 196.0 189.8 174.8 203.8 228.2 Premiums and fees receivable 237.3 197.5 246.2 259.6 296.7 Accrued investment income 417.6 423.0 528.5 533.2 546.4 Assets held in separate accounts 28809.1 37138.8 43408.9 53654.2 50579.9 Federal income taxes recoverable 204.1 345.0 207.5 Amounts recoverable from reinsurers 2328.5 2350.8 3127.1 3954.3 3747.7 Deferred acquisition costs 1689.7 1623.8 1964.4 2800.3 3070.5 Other intangible assets 708.4 613.9 1848.4 1746.5 1557.0 Goodwill 351.7 457.7 1484.3 1423.0 1286.0 Other 596.4 544.8 468.0 675.7 1021.6 Discontinued operations - assets 5482.7 ------- ------- ------- ------- ------- Total Assets 71713.4 77174.7 93836.3 103095.7 99844.1 ======= ======= ======= ======== ======= LIABILITIES and SHAREHOLDERS' EQUITY Liabilities Insurance and Inv Contract Liabilities: Life and annuity reserves 7812.4 8228.7 16434.2 17071.4 17841.2 Health reserves 2153.0 2300.4 2600.1 2507.8 2523.8 Unpaid claims-life and health 438.8 682.0 1043.4 1269.8 1316.6 Unearned premiums 53.7 55.3 62.3 75.8 46.5 Premium deposit funds 20894.6 19803.0 20171.9 19624.1 17715.5 Participating policyholders' funds 81.9 79.8 142.7 132.0 139.4 Other policyholders' funds 188.9 180.6 438.4 472.6 522.2 Liab related to separate accounts 28809.1 37138.8 43408.9 53654.2 50579.9 ------- ------- ------- ------- ------- Total Ins and Inv Contr Liabilities 60432.4 68468.5 84301.9 94807.7 90685.1 Federal income taxes 161.5 487.8 Short-term debt 189.0 297.2 314.6 460.2 312.9 Long-term debt 626.3 511.0 712.2 712.0 712.2 Minority Interest - pref sec of a sub 315.0 315.0 745.0 745.0 745.0 Other liabilities 1417.4 2112.2 2374.6 2107.0 2434.7 Discontinued operations - liabilities 4101.9 ------- ------- ------- ------- ------- Total Liabilities 67243.5 72191.8 88448.3 98831.9 94890.0 ------- ------- ------- ------- ------- S/Hs' equity-unrealized gains (losses)-cont op. 276.4 436.0 552.4 (465.7) 12.0 S/Hs' equity-unrealized gains (losses)-disc op. 136.4 S/Hs' equity-foreign currency 66.4 46.2 50.0 30.0 21.9 S/Hs' equity-other 3990.7 4500.7 4785.6 4699.6 4920.2 ------- ------- ------- ------- ------- Total Shareholders' Equity 4470.0 4982.9 5387.9 4263.9 4954.1 ------- ------- ------- ------- ------- Total Liabilities and Shareholders' Equity 71713.4 77174.7 93836.3 103095.7 99844.1 ======= ======= ======= ======== ======= Shareholders' Equity Per Share [Book Value, Securities at Cost] $19.51 $22.48 $23.86 $24.14 $25.85 Common shares outstanding 207.9 202.3 202.6 196.0 191.2 Quarterly Balance Sheet Unaudited [Millions of Dollars except Common Share Data] Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ------------------------------------------------------------------------------------------------------- ASSETS Investments Corporate bonds 20986.1 22505.2 22450.1 21888.5 21560.5 21119.5 U.S. government bonds 968.1 1134.6 1489.4 1367.8 991.0 538.3 Foreign government bonds 1519.2 1321.2 1373.7 1339.7 1369.6 1447.5 Mortgage backed securities 4857.6 5080.5 5068.6 4788.5 4601.2 4404.0 State and municipal bonds 62.9 16.7 16.2 19.1 14.8 14.7 Preferred stocks - redeemable 160.0 174.6 179.8 175.8 171.3 164.7 Common stocks 424.4 463.1 399.5 419.0 423.9 514.5 Preferred stocks-equity 80.5 79.8 81.3 86.7 82.7 89.5 Mortgage loans 4329.3 4393.1 4344.6 4570.5 4772.7 4735.4 Real estate 459.6 488.7 471.8 449.8 280.3 256.2 Policy loans 1517.1 1840.0 1842.4 1847.4 1863.2 1892.4 Other long-term investments 399.1 432.0 411.9 409.9 401.2 401.8 -------- -------- -------- -------- -------- -------- Total Investments 35763.9 37929.5 38129.4 37362.6 36532.4 35578.4 -------- -------- -------- -------- -------- -------- Invest in unconsol affiliates 17.4 18.8 20.5 22.3 23.4 25.8 Cash and invested cash 2725.4 2433.4 2327.0 2151.1 2342.9 1895.9 Property and equipment 200.9 174.8 178.0 180.7 191.9 203.8 Premiums and fees receivable 241.6 246.2 241.8 269.0 296.0 259.6 Accrued investment income 547.2 528.5 585.6 569.1 602.9 533.2 Assets held in separate accounts 37559.0 43408.9 44339.4 47864.3 46228.8 53654.2 Federal income taxes recoverable 204.1 286.0 478.4 457.3 345.0 Amount recoverable from reinsurers 2454.5 3127.1 3124.5 3121.3 3315.6 3954.3 Deferred acquisition costs 1848.0 1964.4 2112.2 2398.3 2614.5 2800.3 Other intangible assets 1241.8 1848.4 1845.4 1764.9 1760.6 1746.5 Goodwill 1153.1 1484.3 1404.6 1428.3 1435.0 1423.0 Other 853.5 468.0 755.8 651.1 699.3 675.7 -------- -------- -------- -------- -------- -------- Total Assets 84606.2 93836.3 95350.3 98261.4 96500.7 103095.7 ======== ======== ======== ======== ======== ======== LIABILITIES and SHAREHOLDERS' EQUITY Liabilities Insurance and Inv Contract Liabilities: Life and annuity reserves 12993.8 16434.2 16590.3 16536.4 16760.5 17071.4 Health reserves 2435.4 2600.1 2562.3 2528.2 2511.3 2507.8 Unpaid claims-life and health 768.4 1043.4 1022.9 1064.9 1162.6 1269.8 Unearned premiums 66.0 62.3 68.8 68.7 62.5 75.8 Premium deposit funds 20210.3 20171.9 20027.8 20012.6 19988.9 19624.1 Participating policyholders' funds 86.3 142.7 132.6 125.7 120.2 132.0 Other policyholders' funds 235.7 438.4 440.4 441.2 445.9 472.6 Liab related to separate accounts 37559.0 43408.9 44339.4 47864.3 46228.8 53654.2 -------- -------- -------- -------- -------- -------- Total Ins and Inv Contr Liabilies 74355.0 84301.9 85184.6 88642.1 87280.8 94807.7 Federal income taxes 3.0 Short-term debt 354.4 314.6 281.8 380.2 367.7 460.2 Long-term debt 712.0 712.2 712.1 712.1 712.0 712.0 Minority Interest - pref sec of a sub 745.0 745.0 745.0 745.0 745.0 745.0 Other liabilities 2909.2 2374.6 3319.3 2964.7 2733.0 2107.0 -------- -------- -------- -------- -------- -------- Total Liabilities 79078.6 88448.3 90242.9 93444.1 91838.5 98831.9 -------- -------- -------- -------- -------- -------- S/Hs' equity-unrealized gns (losses)-inv. 773.7 552.4 254.6 (1.1) (103.8) (465.7) S/Hs' equity- gains (losses)-derivatives S/Hs' equity-foreign currency 59.8 50.0 30.1 20.6 40.2 30.0 S/Hs' equity-other 4694.1 4785.6 4822.7 4797.9 4725.8 4699.5 Cumulative effect of accouting change -------- -------- -------- -------- -------- -------- Total Shareholders' Equity 5527.6 5387.9 5107.4 4817.4 4662.2 4263.9 -------- -------- -------- -------- -------- -------- Total Liabilities and Shareholders' Equity 84606.2 93836.3 95350.3 98261.4 96500.7 103095.7 ======== ======== ======== ======== ======== ======== Shareholders' Equity Per Share [Book Value, Securities at Cost] $23.47 $23.86 $24.04 $24.18 $24.28 $24.14 Common shares outstanding 202.6 202.6 201.8 199.3 196.3 196.0 Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------------------- ASSETS Investments Corporate bonds 21188.0 20719.1 21064.7 21249.7 21855.2 22116.6 U.S. government bonds 572.4 566.2 575.5 542.9 536.6 510.0 Foreign government bonds 1416.4 1377.4 1277.7 1321.1 1240.8 1236.3 Mortgage backed securities 4393.4 4242.4 4172.5 4160.4 4009.8 3844.6 State and municipal bonds 14.7 14.1 14.3 14.6 14.7 14.1 Preferred stocks - redeemable 159.7 159.2 159.5 161.2 154.1 152.2 Common stocks 496.4 467.8 479.9 436.6 388.6 373.3 Preferred stocks-equity 91.3 92.2 90.3 113.1 170.9 160.8 Mortgage loans 4833.9 4783.8 4767.3 4663.0 4641.2 4652.8 Real estate 283.4 282.1 297.6 282.0 308.1 306.9 Policy loans 1896.3 1914.7 1935.6 1960.9 1947.0 1947.4 Other long-term investments 428.8 438.2 470.5 463.3 477.4 480.9 -------- -------- -------- -------- -------- -------- Total Investments 35774.6 35057.2 35305.4 35368.6 35744.5 35796.0 -------- -------- -------- -------- -------- -------- Invest in unconsol affiliates (0.9) 5.8 6.4 7.3 6.1 Cash and invested cash 1510.1 1619.3 1435.9 1927.4 2015.2 1501.9 Property and equipment 207.7 205.5 213.8 228.2 242.1 251.4 Premiums and fees receivable 190.2 247.8 240.8 296.7 282.8 303.7 Accrued investment income 575.0 544.0 569.2 546.4 581.9 573.2 Assets held in separate accounts 56907.6 54924.2 54410.9 50579.9 44506.2 47140.2 Federal income taxes recoverable 300.4 246.1 267.3 207.5 106.6 177.5 Amount recoverable from reinsurers 3851.0 3775.3 3774.7 3747.7 3706.4 3662.0 Deferred acquisition costs 2870.4 2968.0 3048.0 3070.5 2963.4 3129.1 Other intangible assets 1705.5 1646.7 1598.4 1557.0 1505.3 1479.0 Goodwill 1349.6 1335.4 1296.6 1286.0 1274.5 1263.6 Other 1097.8 1279.1 1076.4 1021.6 1186.3 1147.7 -------- -------- -------- -------- -------- -------- Total Assets 106340.0 103847.6 103243.1 99844.1 94122.4 96431.2 ======== ======== ======== ======== ======== ======== LIABILITIES and SHAREHOLDERS' EQUITY Liabilities Insurance and Inv Contract Liabilities: Life and annuity reserves 17172.1 17247.3 17500.0 17841.2 17733.0 17865.3 Health reserves 2547.4 2494.2 2520.2 2523.8 2534.8 2533.9 Unpaid claims-life and health 1177.3 1204.1 1202.8 1316.6 1255.3 1136.5 Unearned premiums 57.1 52.8 51.8 46.5 45.9 19.0 Premium deposit funds 18899.3 18407.2 18072.1 17715.5 17667.1 17715.9 Participating policyholders' funds 130.7 130.4 135.4 139.4 145.0 135.2 Other policyholders' funds 478.9 490.6 500.7 522.2 532.1 541.4 Liab related to separate accounts 56907.6 54924.2 54410.9 50579.9 44506.2 47140.2 -------- -------- -------- -------- -------- -------- Total Ins and Inv Contr Liabilies 97370.5 94950.8 94394.0 90685.1 84419.3 87087.2 Federal income taxes Short-term debt 474.2 355.7 330.3 312.9 415.3 351.3 Long-term debt 712.0 712.1 712.2 712.2 712.3 712.4 Minority Interest - pref sec of a sub 745.0 745.0 745.0 745.0 745.0 745.0 Other liabilities 2697.9 2860.3 2522.9 2434.7 2734.2 2479.4 -------- -------- -------- -------- -------- -------- Total Liabilities 101999.6 99623.9 98704.5 94890.0 89026.0 91375.3 -------- -------- -------- -------- -------- -------- S/Hs' equity-unrealized gns (losses)-inv. (411.2) (556.6) (337.7) 12.0 190.4 76.2 S/Hs' equity- gains (losses)-derivatives 5.7 9.4 S/Hs' equity-foreign currency 22.8 21.8 19.9 21.9 4.1 (15.3) S/Hs' equity-other 4728.9 4758.5 4856.5 4920.1 4878.5 4968.2 Cumulative effect of accouting change 17.6 17.6 -------- -------- -------- -------- -------- -------- Total Shareholders' Equity 4340.4 4223.7 4538.6 4954.1 5096.4 5055.9 -------- -------- -------- -------- -------- -------- Total Liabilities and Shareholders' Equity 106340.0 103847.6 103243.1 99844.1 94122.4 96431.2 ======== ======== ======== ======== ======== ======== Shareholders' Equity Per Share [Book Value, Securities at Cost] $24.58 $25.01 $25.43 $25.85 $25.96 $26.32 Common shares outstanding 193.3 191.1 191.8 191.2 188.1 188.2 6/30/2001 PAGE 13 Annuities Segment Income Statements & Operational Data Unaudited [Millions of Dollars] YTD YTD Jun Jun For the Year Ended December 31 1996 1997 1998 1999 2000 2000 2001 Operating Revenue Premiums 69.8 84.2 53.9 65.2 64.3 30.0 51.6 Surrender charges 26.3 29.8 33.5 37.9 41.8 22.3 17.5 Expense assessments 276.7 367.2 459.9 536.2 628.4 310.8 279.5 Other revenue and fees 0.8 1.2 1.7 14.5 11.0 2.8 5.6 Net investment income 1385.9 1477.1 1501.6 1474.2 1393.5 708.7 680.7 ------ ------ ------ ------ ------ ------ ------ Operating Revenue 1759.5 1959.5 2050.6 2128.0 2138.9 1074.6 1034.9 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Benefits 270.1 292.6 271.6 259.1 254.7 127.3 142.4 Interest credited to policy bal. 910.3 974.4 955.2 925.2 866.1 447.5 419.1 Underwriting, acquisition, insurance and other expenses 348.5 415.0 498.8 560.8 575.5 284.4 260.6 Goodwill amortization 0.0 0.0 2.2 2.0 (0.6) (1.2) 0.6 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 1528.9 1682.0 1727.8 1747.1 1695.7 858.0 822.7 ------ ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 230.6 277.5 322.8 380.9 443.2 216.6 212.2 Federal income taxes 56.0 54.5 60.4 81.4 81.2 44.0 39.1 ------ ------ ------ ------ ------ ------ ------ Income from Operations 174.6 223.0 262.4 299.4 362.0 172.6 173.1 ------ ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 29.6 40.3 11.4 (7.9) (3.4) 3.0 (8.1) Gains(losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 0.0 Restructuring Charge 0.0 0.0 0.0 0.0 0.0 0.0 (1.3) Income before Accounting Changes 204.3 263.3 273.8 291.5 358.6 175.6 163.8 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 (7.3) ------ ------ ------ ------ ------ ------ ------ Net Income 204.3 263.3 273.8 291.5 358.6 175.6 156.5 ====== ====== ====== ====== ====== ====== ====== Inc from Oper - before Goodwill Amort. 174.6 223.0 264.6 301.5 361.4 171.4 173.7 Effective tax rate 24.3% 19.6% 18.7% 21.4% 18.3% 20.3% 18.4% Operating Revenue 1759.5 1959.5 2050.6 2128.0 2138.9 1074.6 1034.9 Realized gains (losses) on investments 45.6 63.5 17.5 (12.1) (5.2) 4.6 (12.4) Gains(losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ ------ Total Revenue 1805.0 2023.0 2068.1 2115.8 2133.7 1079.2 1022.5 ====== ====== ====== ====== ====== ====== ====== Average capital 1334.3 1373.0 1592.6 1562.0 1601.8 1543.1 1792.5 Return on average capital 13.1% 16.2% 16.5% 19.2% 22.6% 22.4% 19.3% Annuities Segment Income Statements & Operational Data Unaudited [Millions of Dollars] Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ----------------------------------------------------------------------------------------------- Operating Revenue Premiums 10.8 16.3 14.9 16.2 13.1 21.0 Surrender charges 8.3 7.6 8.6 9.3 10.1 9.8 Expense assessments 115.6 112.6 119.8 133.3 142.6 140.5 Other revenue and fees (0.0) 1.2 3.9 3.2 0.9 6.4 Net investment income 373.3 372.5 373.4 370.2 364.5 366.0 ------- ------- ------- ------- ------- ------- Operating Revenue 508.0 510.2 520.7 532.3 531.2 543.7 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Benefits paid or provided: Benefits 67.5 68.9 61.9 65.0 55.0 77.2 Interest credited to policy balances 235.6 233.6 228.2 232.9 230.1 234.1 Underwriting, acquisition, insurance and other expenses 125.2 128.1 138.5 141.0 146.5 134.7 Goodwill amortization 0.5 1.1 0.5 0.4 0.6 0.5 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 428.7 431.6 429.1 439.2 432.2 446.5 ------- ------- ------- ------- ------- ------- Income from Operations Before Tax 79.3 78.6 91.6 93.0 99.0 97.2 Federal income taxes 13.8 15.4 17.2 17.1 23.6 23.5 ------- ------- ------- ------- ------- ------- Income from Operations 65.5 63.2 74.4 75.9 75.4 73.7 ------- ------- ------- ------- ------- ------- Realized gains (losses) on investments (9.5) 1.8 2.4 0.5 (7.0) (3.7) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 Restructuring charges 0.0 0.0 0.0 0.0 0.0 0.0 ------- ------- ------- ------- ------- ------- Income before Accounting Changes 56.0 64.9 76.8 76.4 68.4 69.9 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 ------- ------- ------- ------- ------- ------- Net Income 56.0 64.9 76.8 76.4 68.4 69.9 ======= ======= ======= ======= ======= ======= Inc from Oper -before Goodwill Amortization 66.0 64.3 75.0 76.3 76.0 74.2 Effective tax rate 17.4% 19.6% 18.8% 18.4% 23.8% 24.2% Operating Revenue 508.0 510.2 520.7 532.3 531.2 543.7 Realized gains (losses) on investments (14.7) 2.7 3.7 0.7 (10.7) (5.8) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 ------- ------- ------- ------- ------- ------- Total Revenue 493.3 512.9 524.4 533.0 520.5 538.0 ======= ======= ======= ======= ======= ======= Average capital 1676.0 1521.5 1615.3 1602.4 1471.2 1559.0 Return on average capital 15.6% 16.6% 18.4% 19.0% 20.5% 18.9% Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ---------------------------------------------------------------------------------------------- Operating Revenue Premiums 13.3 16.8 18.0 16.2 19.1 32.5 Surrender charges 11.1 11.2 10.4 9.1 9.1 8.5 Expense assessments 155.1 155.7 163.4 154.2 141.6 138.0 Other revenue and fees 2.2 0.6 4.6 3.5 1.7 3.9 Net investment income 362.9 345.8 349.8 335.0 341.3 339.3 ------- ------- ------- ------- ------- ------- Operating Revenue 544.6 530.1 546.2 518.1 512.8 522.1 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Benefits paid or provided: Benefits 61.6 65.7 68.4 59.0 69.8 72.6 Interest credited to policy balances 228.2 219.4 205.4 213.2 209.4 209.7 Underwriting, acquisition, insurance and other expenses 144.5 139.8 147.9 143.2 134.6 126.0 Goodwill amortization (1.5) 0.3 0.3 0.3 0.3 0.3 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 432.8 425.2 421.9 415.7 414.1 408.6 ------- ------- ------- ------- ------- ------- Income from Operations Before Tax 111.8 104.8 124.2 102.3 98.7 113.6 Federal income taxes 23.3 20.7 21.3 15.9 16.3 22.8 ------- ------- ------- ------- ------- ------- Income from Operations 88.5 84.1 102.9 86.4 82.3 90.8 ------- ------- ------- ------- ------- ------- Realized gains (losses) on investments 2.7 0.3 (9.1) 2.8 (1.4) (6.7) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 (0.1) 0.1 Restructuring charges 0.0 0.0 0.0 0.0 (0.7) (0.6) ------- ------- ------- ------- ------- ------- Income before Accounting Changes 91.2 84.4 93.8 89.2 80.2 83.6 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 (3.6) (3.7) ------- ------- ------- ------- ------- ------- Net Income 91.2 84.4 93.8 89.2 76.6 79.9 ======= ======= ======= ======= ======= ======= Inc from Oper -before Goodwill Amortization 87.0 84.4 103.2 86.7 82.6 91.1 Effective tax rate 20.8% 19.7% 17.1% 15.6% 16.6% 20.1% Operating Revenue 544.6 530.1 546.2 518.1 512.8 522.1 Realized gains (losses) on investments 4.2 0.4 (14.1) 4.2 (2.2) (10.3) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 (0.2) 0.2 ------- ------- ------- ------- ------- ------- Total Revenue 548.7 530.5 532.1 522.3 510.4 512.1 ======= ======= ======= ======= ======= ======= Average capital 1438.4 1647.7 1635.2 1686.0 1797.9 1787.1 Return on average capital 24.6% 20.4% 25.2% 20.5% 18.3% 20.3% 6/30/2001 Page 15 Annuities Segment Annuity Account Value Roll Forward Unaudited [Billions of Dollars] YTD YTD Jun Jun 1996 1997 1998 1999 2000 2000 2001 --------------------------------------------------------------------- Fixed Annuities- Bal Beg-of-Year 14.645 17.634 17.214 18.111 18.210 18.210 16.615 Gross Deposits 1.852 1.632 1.452 2.563 2.074 1.078 1.228 Withdrawals (incl charges) & deaths (1.916) (2.220) (2.468) (2.521) (3.283) (1.671) (1.361) ------ ------ ------ ------ ------ ------ ------ Net cash flows (0.063) (0.588) (1.016) 0.042 (1.209) (0.593) (0.134) Transfer from (to) var annuities (0.688) (1.336) (0.356) (0.783) (1.329) (0.896) (0.236) Interest credited 0.871 0.978 0.994 0.840 0.944 0.479 0.451 Acq of new business/companies 2.869 0.527 1.274 ------ ------ ------ ------ ------ ------ ------ Fixed Annuities-Gross 17.634 17.214 18.111 18.210 16.615 17.200 16.697 Reinsurance Ceded (1.816) (1.757) (1.606) (1.419) (1.173) (1.291) (1.069) ------ ------ ------ ------ ------ ------ ------ Fixed Annuities-Bal End -of-Year 15.818 15.458 16.505 16.791 15.442 15.909 15.628 ------ ------ ------ ------ ------ ------ ------ Fixed Annuities Incremental Deposits * 1.410 1.412 1.265 2.310 1.918 1.006 1.147 Variable Annuities-Bal Beg-of-Year 15.673 20.383 27.346 33.358 41.493 41.493 39.427 Gross Deposits 2.746 2.695 2.791 2.553 3.165 1.590 1.590 Withdrawals (incl charges) & deaths (1.454) (2.038) (3.019) (3.760) (4.830) (2.378) (2.243) ------ ------ ------ ------ ------ ------ ------ Net cash flows 1.292 0.657 (0.228) (1.207) (1.665) (0.788) (0.653) Transfer from (to) fixed annuities 0.689 1.335 0.389 0.787 1.320 0.892 0.238 Invest inc & change in mkt value 2.729 4.971 5.414 8.555 (1.721) 1.500 (2.051) Acq(sale) of new business/companies ------ ------ ------ ------ ------ ------ ------ Var Annuities-Bal End-of-Year 20.383 27.346 33.358 41.493 39.427 43.097 36.961 ------ ------ ------ ------ ------ ------ ------ Variable Annuities Incremental Deposits * 2.626 2.585 2.641 2.409 2.667 1.431 1.295 Total Annuities - Bal Beg-of-Year 30.318 38.017 44.561 51.469 59.704 59.704 56.043 Gross Deposits 4.598 4.327 4.244 5.116 5.239 2.668 2.818 Withdrawals (incl charges) & deaths (3.369) (4.258) (5.487) (6.281) (8.113) (4.049) (3.604) ------ ------ ------ ------ ------ ------ ------ Net cash flows 1.229 0.069 (1.244) (1.165) (2.874) (1.381) (0.787) Transfers 0.001 (0.001) 0.033 0.004 (0.009) (0.004) 0.002 Interest credited & change in mkt value 3.600 5.949 6.408 9.395 (0.777) 1.979 (1.600) Acq of new business/companies 2.869 0.527 1.711 ------ ------ ------ ------ ------ ------ ------ Total Gross Annuities-Bal End-of-Year 38.017 44.561 51.469 59.704 56.043 60.297 53.658 Reinsurance Ceded (1.816) (1.757) (1.606) (1.419) (1.173) (1.291) (1.069) ------ ------ ------ ------ ------ ------ ------ Total Annuities (Net of Ceded) - Bal End-of-Year 36.202 42.804 49.863 58.284 54.869 59.006 52.589 ====== ====== ====== ====== ====== ====== ====== Total Annuities Incremental Deposits * 4.036 3.997 3.906 4.719 4.585 2.437 2.442 Var Ann Under Agree - Included above 0.649 0.719 0.941 0.868 0.975 * Incremental Deposits represent gross deposits reduced by transfers from other Lincoln Annuity products. Annuities Segment Annuity Account Value Roll Forward Unaudited [Billions of Dollars] Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ------------------------------------------------------------------------------------------------------ Fixed Annuities-Bal Beg-of-Quarter 18.101 18.123 18.111 18.225 18.303 18.406 Gross Deposits 0.346 0.335 0.489 0.654 0.678 0.741 Withdrawals (incl charges) & deaths (0.578) (0.608) (0.579) (0.593) (0.567) (0.782) ------ ------- ------ ------- ------- ------- Net cash flows (0.233) (0.273) (0.090) 0.061 0.111 (0.040) Transfer from (to) var annuities 0.009 0.011 (0.034) (0.211) (0.238) (0.300) Interest credited 0.246 0.249 0.238 0.228 0.231 0.144 Acq of new business/companies 0.001 ------ ------- ------ ------- ------- ------- Fixed Annuities-Gross 18.123 18.111 18.225 18.303 18.406 18.210 Reinsurance Ceded (1.647) (1.606) (1.569) (1.524) (1.473) (1.419) ------ ------- ------ ------- ------- ------- Fixed Annuities-Bal End-of-Quarter 16.476 16.505 16.656 16.779 16.934 16.791 ------ ------- ------ ------- ------- ------- Fixed Annuities Incremental Deposits * 0.299 0.304 0.462 0.622 0.644 0.582 Variable Annuities-Bal Beg-of-Quarter 33.458 29.476 33.358 34.148 37.233 35.613 Gross Deposits 0.647 0.633 0.635 0.651 0.634 0.634 Withdrawals (incl charges) & deaths (0.764) (0.801) (0.827) (0.912) (0.938) (1.084) ------ ------- ------ ------- ------- ------- Net cash flows (0.117) (0.168) (0.192) (0.261) (0.304) (0.450) Transfer from (to) fixed annuities (0.016) 0.028 0.034 0.213 0.237 0.303 Invest inc & change in mkt value (3.849) 5.405 0.948 3.133 (1.553) 6.027 Acq(sale) of new business/companies (1.383) ------ ------- ------ ------- ------- ------- Var Annuities-Bal End-of-Quarter 29.476 33.358 34.148 37.233 35.613 41.493 ------ ------- ------ ------- ------- ------- Variable Annuities Incremental Deposits 0.615 0.585 0.606 0.622 0.589 0.592 Total Annuities -Bal Beg-of-Quarter 51.559 47.599 51.469 52.373 55.536 54.020 Gross Deposits 0.993 0.968 1.124 1.305 1.312 1.375 Withdrawals (incl charges) & deaths (1.343) (1.409) (1.406) (1.505) (1.505) (1.865) ------ ------- ------ ------- ------- ------- Net cash flows (0.350) (0.441) (0.282) (0.200) (0.193) (0.490) Transfers (0.007) 0.039 0.002 (0.001) 0.003 Interest credited & change in mkt value (3.603) 5.654 1.186 3.361 (1.322) 6.171 Acq of new business/companies (1.382) ------ ------- ------ ------- ------- ------- Total Gross Annuities-Bal End-of-Quarter 47.599 51.469 52.373 55.536 54.020 59.704 ------ ------- ------ ------- ------- ------- Reinsurance Ceded (1.647) (1.606) (1.569) (1.524) (1.473) (1.419) ------ ------- ------ ------- ------- ------- Total Annuities (Net of Ceded) - Bal End-of-Qtr 45.953 49.863 50.804 54.012 52.547 58.284 ====== ======= ====== ======= ======= ======= Total Annuities Incremental Deposits * 0.914 0.889 1.068 1.244 1.233 1.174 Var Ann Under Agree - Included above 1.836 0.649 0.651 0.685 0.639 0.719 Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------------------ Fixed Annuities-Bal Beg-of-Quarter 18.210 17.615 17.200 16.930 16.615 16.599 Gross Deposits 0.589 0.490 0.513 0.482 0.560 0.668 Withdrawals (incl charges) & deaths (0.875) (0.796) (0.802) (0.810) (0.787) (0.574) ------ ------- ------ ------- ------- ------- Net cash flows (0.287) (0.307) (0.288) (0.328) (0.227) 0.094 Transfer from (to) var annuities (0.550) (0.346) (0.217) (0.216) (0.014) (0.222) Interest credited 0.241 0.238 0.235 0.230 0.225 0.226 Acq of new business/companies ------ ------- ------ ------- ------- ------- Fixed Annuities-Gross 17.615 17.200 16.930 16.615 16.599 16.697 Reinsurance Ceded (1.363) (1.291) (1.230) (1.173) (1.115) (1.069) ------ ------- ------ ------- ------- ------- Fixed Annuities-Bal End-of-Quarter 16.252 15.909 15.700 15.442 15.484 15.628 ------ ------- ------ ------- ------- ------- Fixed Annuities Incremental Deposits * 0.560 0.447 0.464 0.447 0.536 0.611 Variable Annuities-Bal Beg-of-Quarter 41.493 44.640 43.097 42.743 39.427 34.733 Gross Deposits 0.797 0.793 0.729 0.846 0.887 0.703 Withdrawals (incl charges) & deaths (1.210) (1.168) (1.253) (1.199) (1.250) (0.993) ------ ------- ------ ------- ------- ------- Net cash flows (0.413) (0.375) (0.524) (0.353) (0.363) (0.290) Transfer from (to) fixed annuities 0.549 0.343 0.216 0.212 0.011 0.227 Invest inc & change in mkt value 3.011 (1.511) (0.046) (3.175) (4.342) 2.291 Acq(sale) of new business/companies Var Annuities-Bal End-of-Quarter 44.640 43.097 42.743 39.427 34.733 36.961 ------ ------- ------ ------- ------- ------- Variable Annuities Incremental Deposits 0.732 0.699 0.586 0.650 0.683 0.612 Total Annuities -Bal Beg-of-Quarter 59.704 62.255 60.297 59.673 56.043 51.332 Gross Deposits 1.386 1.283 1.242 1.328 1.447 1.371 Withdrawals (incl charges) & deaths (2.085) (1.964) (2.055) (2.009) (2.037) (1.567) ------ ------- ------ ------- ------- ------- Net cash flows (0.700) (0.682) (0.812) (0.681) (0.590) (0.196) Transfers (0.001) (0.003) (0.001) (0.004) (0.003) 0.005 Interest credited & change in mkt value 3.252 (1.273) 0.189 (2.945) (4.117) 2.517 Acq of new business/companies Total Gross Annuities-Bal End-of-Quarter 62.255 60.297 59.673 56.043 51.332 53.658 ------ ------- ------ ------- ------- ------- Reinsurance Ceded (1.363) (1.291) (1.230) (1.173) (1.115) (1.069) ------ ------- ------ ------- ------- ------- Total Annuities (Net of Ceded) - Bal End-of-Qtr 60.892 59.006 58.443 54.869 50.217 52.589 ====== ======= ====== ======= ======= ======= Total Annuities Incremental Deposits * 1.292 1.145 1.050 1.097 1.219 1.223 Var Ann Under Agree - Included above 0.866 0.868 0.962 0.941 0.904 0.975 Incremental Deposits represent gross deposits reduced by transfers from other Lincoln Annuity products. Life Insurance Segment Income Statements & Operational Data Unaudited [Millions of Dollars] YTD YTD Jun Jun 1996 1997 1998 1999 2000 2000 2001 --------------------------------------------------------------------------------------------------------------------------------- Operating Revenue Premiums 62.4 64.8 185.9 235.8 227.3 109.3 101.6 Surrender charges 10.5 9.8 52.1 66.3 66.4 32.7 30.6 Mortality assessments 159.7 161.2 350.1 444.6 465.2 226.7 249.1 Expense assessments 27.8 28.6 146.2 165.8 191.8 89.4 92.7 Other revenue and fees 6.7 9.0 2.6 9.8 14.2 6.8 8.9 Net investment income 260.6 268.2 642.6 840.1 871.5 431.2 450.4 ------- ------- ------- ------- ------- ------- ------- Operating Revenue 527.6 541.5 1379.5 1762.6 1836.4 896.0 933.4 ------- ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Benefits paid or provided: Benefits 136.5 143.6 371.2 430.5 411.5 194.7 203.4 Div accum & div to policyholders 24.1 20.4 70.7 81.5 80.8 39.1 36.6 Interest credited to policy bal. 151.9 153.0 393.1 493.8 525.4 255.0 279.5 Underwriting, acquisition, insurance and other expenses 154.1 172.1 293.1 399.1 384.8 200.3 190.8 Goodwill amortization 0.1 0.1 19.7 23.4 23.7 11.8 11.8 Interest expense 0.0 0.0 0.0 0.0 ------- ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 466.8 489.3 1147.8 1428.2 1426.3 700.9 722.1 ------- ------- ------- ------- ------- ------- ------- Income from Operations Before Tax 60.8 52.3 231.6 334.3 410.1 195.1 211.2 Federal income taxes 19.6 12.4 82.4 122.3 150.1 72.2 75.5 ------- ------- ------- ------- ------- ------- ------- Income from Operations 41.2 39.9 149.2 212.0 259.9 122.9 135.7 ------- ------- ------- ------- ------- ------- ------- Realized gains (losses) on investments 10.5 (0.8) (1.7) (0.5) (10.7) (6.4) (11.8) Gains(losses) on derivatives 0.1 Restructuring charges (20.0) (2.0) ------- ------- ------- ------- ------- ------- ------- Income before Accounting Changes 51.8 39.1 127.5 211.5 249.3 116.5 122.0 ======= ======= ======= ======= ======= ======= ======= Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 (5.5) Net Income 51.8 39.1 127.5 211.5 249.3 116.5 116.5 ======= ======= ======= ======= ======= ======= ======= Inc from Oper -before Goodwill Amort. 41.4 40.0 168.9 235.4 283.6 134.7 147.6 Effective tax rate 32.2% 23.7% 35.6% 36.6% 36.6% 37.0% 35.7% Operating Revenue 527.6 541.5 1,379.5 1762.6 1836.4 896.0 933.4 Realized gains (losses) on investments 21.6 3.2 (1.0) (2.2) (17.4) (10.1) (18.2) Gains(losses) on derivatives 0.1 ------- ------- ------- ------- ------- ------- ------- Total Revenue 549.2 544.8 1,378.5 1760.4 1819.0 885.9 915.3 ======= ======= ======= ======= ======= ======= ======= Average capital 388.2 384.9 1948.0 2712.3 2640.2 2635.1 2722.7 Return on average capital 10.6% 10.4% 7.7% 7.8% 9.8% 9.3% 10.0% First Year Premiums by Product (Billions) Lincoln Life Universal Life 0.021 0.013 0.125 0.225 0.190 0.087 0.080 Variable Universal Life 0.054 0.053 0.086 0.129 0.209 0.084 0.104 Whole Life 0.007 0.005 0.020 0.024 0.022 0.008 0.009 Term 0.000 0.000 0.003 0.004 0.003 0.002 0.001 ------- ------- ------- ------- ------- ------- ------- Subtotal 0.082 0.071 0.234 0.381 0.423 0.182 0.194 Corporate Owned Life Insurance (COLI) 0.000 0.000 0.004 0.015 0.087 0.032 0.028 ------- ------- ------- ------- ------- ------- ------- Total Lincoln Life 0.082 0.071 0.238 0.396 0.510 0.214 0.222 ------- ------- ------- ------- ------- ------- ------- First Penn-Pacific Universal Life 0.111 0.101 0.108 0.114 0.094 0.046 0.045 Term 0.023 0.033 0.046 0.047 0.045 0.026 0.016 ------- ------- ------- ------- ------- ------- ------- Total First Penn-Pacific 0.134 0.134 0.154 0.160 0.139 0.072 0.060 ------- ------- ------- ------- ------- ------- ------- Total Segment by Product 0.216 0.205 0.391 0.556 0.649 0.286 0.282 ======= ======= ======= ======= ======= ======= ======= First Year Premiums by Distribution (Billions) Lincoln Financial Advisors 0.181 0.195 0.080 0.081 Lincoln Financial Distributors 0.375 0.455 0.207 0.201 ------- ------- ------- ------- ------- ------- ------- Total by Distribution 0.216 0.205 0.391 0.556 0.649 0.286 0.282 ======= ======= ======= ======= ======= ======= ======= Individual Life Insurance In-Force (Billions) Universal Life & Other 32.876 32.827 105.837 109.288 115.872 110.448 118.007 Term Insurance 16.284 30.337 67.076 85.701 100.130 97.039 105.265 ------- ------- ------- ------- ------- ------- ------- Total Life Segment In-Force 49.160 63.164 172.914 194.988 216.002 207.487 223.272 ======= ======= ======= ======= ======= ======= ======= Life Insurance Segment Income Statements & Operational Data Unaudited [Millions of Dollars] For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ---------------------------------------------------------------------------------------------------------- Operating Revenue Premiums 40.8 80.2 54.5 57.8 52.4 71.1 Surrender charges 11.0 17.6 14.7 16.5 17.1 18.0 Mortality assessments 60.4 121.8 108.8 111.4 110.5 113.9 Expense assessments 36.5 50.8 39.6 35.4 42.8 48.0 Other revenue and fees (0.1) 2.5 1.9 1.6 2.4 3.9 Net investment income 144.8 207.5 207.9 207.8 209.6 214.8 ------- ------- ------- ------- ------- ------- Operating Revenue 293.4 480.4 427.4 430.6 434.9 469.6 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Benefits paid or provided: Benefits 72.0 134.9 103.6 108.7 105.4 112.8 Div accum & div to policyholders 18.4 26.3 20.3 21.0 19.2 21.0 Interest credited to policy bal. 74.7 122.0 125.8 123.0 122.8 122.3 Underwriting, acquisition, insurance and other expenses 69.4 106.6 95.7 86.5 99.1 117.8 Goodwill amortization 4.0 7.1 5.9 5.0 6.4 6.0 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 238.5 396.9 351.2 344.1 353.0 379.9 ------- ------- ------- ------- ------- ------- Income from Operations Before Tax 54.9 83.5 76.1 86.5 82.0 89.8 Federal income taxes 18.8 31.6 28.1 32.0 29.4 32.8 ------- ------- ------- ------- ------- ------- Income from Operations 36.2 51.9 48.1 54.4 52.6 57.0 ------- ------- ------- ------- ------- ------- Realized gains (losses) on investments (1.0) (6.1) (1.8) (2.9) 1.4 2.8 Gains (losses) on derivatives Restructuring charges ------- ------- ------- ------- ------- ------- Income before Accounting Changes 35.2 45.8 46.3 51.5 54.0 59.7 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 ------- ------- ------- ------- ------- ------- Net Income 35.2 45.8 46.3 51.5 54.0 59.7 ======= ======= ======= ======= ======= ======= Inc from Oper -before Goodwill Amortization 40.1 59.0 54.0 59.5 59.0 63.0 Effective tax rate 34.1% 37.9% 36.9% 37.0% 35.9% 36.5% Operating Revenue 293.4 480.4 427.4 430.6 434.9 469.6 Realized gains (losses) on investments (0.6) (9.7) (3.4) (4.4) 2.1 3.4 Gains (losses) on derivatives ------- ------- ------- ------- ------- ------- Total Revenue 292.8 470.7 424.0 426.3 437.1 473.1 ======= ======= ======= ======= ======= ======= Average capital 1895.1 2527.0 2716.6 2739.4 2707.4 2686.0 Return on average capital 7.6% 8.2% 7.1% 7.9% 7.8% 8.5% First Year Premiums by Product (Billions) Lincoln Life Universal Life 0.043 0.051 0.044 0.086 Variable Universal Life 0.027 0.024 0.027 0.052 Whole Life 0.004 0.005 0.006 0.008 Term 0.000 0.001 0.001 0.001 Subtotal 0.075 0.081 0.078 0.147 Corporate Owned Life Insurance (COLI) 0.002 0.007 0.002 0.004 ------- ------- ------- ------- ------- ------- Total Lincoln Life 0.044 0.103 0.077 0.088 0.081 0.151 ------- ------- ------- ------- ------- ------- First Penn-Pacific Universal Life 0.029 0.029 0.030 0.026 Term 0.013 0.012 0.011 0.011 ------- ------- ------- ------- ------- ------- Total First Penn-Pacific 0.040 0.043 0.042 0.040 0.041 0.037 ------- ------- ------- ------- ------- ------- Total Segment by Product 0.084 0.147 0.119 0.128 0.121 0.188 ======= ======= ======= ======= ======= ======= First Year Premiums by Distribution (Billions) Lincoln Financial Advisors 0.010 0.006 0.039 0.033 0.038 0.071 Lincoln Financial Distributors 0.074 0.141 0.080 0.095 0.084 0.117 ------- ------- ------- ------- ------- ------- Total by Distribution 0.084 0.147 0.119 0.128 0.121 0.188 ======= ======= ======= ======= ======= ======= Individual Insurance In-Force (Billions) Universal Life & Other 69.785 105.837 105.090 106.047 106.945 109.288 Term Insurance 52.057 67.076 73.452 78.431 81.963 85.701 Total Segment In-Force 121.842 172.914 178.542 184.478 188.908 194.988 ======= ======= ======= ======= ======= ======= For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 --------------------------------------------------------------------------------------------------------- Operating Revenue Premiums 53.0 56.3 50.9 67.1 50.9 50.7 Surrender charges 16.2 16.5 13.8 19.9 17.2 13.5 Mortality assessments 112.2 114.5 116.3 122.1 124.3 124.8 Expense assessments 45.3 44.1 46.9 55.5 47.4 45.3 Other revenue and fees 3.2 3.6 3.8 3.7 5.1 3.8 Net investment income 215.6 215.5 220.6 219.7 223.0 227.4 ------- ------- ------- ------- ------- ------- Operating Revenue 445.5 450.5 452.4 488.0 467.9 465.5 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses Benefits paid or provided: Benefits 98.4 96.3 95.8 121.0 99.9 103.5 Div accum & div to policyholders 20.4 18.7 16.4 25.3 17.5 19.0 Interest credited to policy bal. 126.3 128.7 134.0 136.5 138.3 141.2 Underwriting, acquisition, insurance and other expenses 99.4 100.9 94.9 89.6 98.8 92.0 Goodwill amortization 5.9 5.9 5.9 5.9 5.9 5.9 ------- ------- ------- ------- ------- ------- Operating Benefits and Expenses 350.3 350.6 347.0 378.4 360.5 361.7 ------- ------- ------- ------- ------- ------- Income from Operations Before Tax 95.2 99.9 105.4 109.6 107.4 103.8 Federal income taxes 34.8 37.4 38.9 39.0 38.8 36.7 ------- ------- ------- ------- ------- ------- Income from Operations 60.4 62.4 66.5 70.6 68.6 67.1 ------- ------- ------- ------- ------- ------- Realized gains (losses) on investments (2.4) (4.0) 1.0 (5.2) (5.4) (6.4) Gains (losses) on derivatives (0.0) 0.1 Restructuring charges (2.0) ------- ------- ------- ------- ------- ------- Income before Accounting Changes 58.1 58.4 67.4 65.4 63.2 58.8 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 (0.2) (5.3) ------- ------- ------- ------- ------- ------- Net Income 58.1 58.4 67.4 65.4 62.9 53.5 ======= ======= ======= ======= ======= ======= Inc from Oper -before Goodwill Amortization 66.3 68.4 72.4 76.5 74.5 73.0 Effective tax rate 36.5% 37.5% 36.9% 35.6% 36.1% 35.3% Operating Revenue 445.5 450.5 452.4 488.0 467.9 465.5 Realized gains (losses) on investments (3.8) (6.3) 0.8 (8.1) (8.2) (10.0) Gains (losses) on derivatives (0.0) 0.2 ------- ------- ------- ------- ------- ------- Total Revenue 441.7 444.2 453.2 479.9 459.6 455.7 ======= ======= ======= ======= ======= ======= Average capital 2655.3 2615.0 2650.5 2640.0 2729.8 2715.7 Return on average capital 9.1% 9.6% 10.0% 10.7% 10.1% 9.9% First Year Premiums by Product (Billions) Lincoln Life Universal Life 0.046 0.042 0.047 0.056 0.035 0.045 Variable Universal Life 0.042 0.043 0.052 0.072 0.053 0.050 Whole Life 0.004 0.005 0.006 0.008 0.004 0.005 Term 0.001 0.001 0.000 0.001 0.000 0.000 ------- ------- ------- ------- ------- ------- Subtotal 0.093 0.089 0.105 0.137 0.093 0.101 Corporate Owned Life Insurance (COLI) 0.013 0.019 0.006 0.049 0.007 0.021 ------- ------- ------- ------- ------- ------- Total Lincoln Life 0.105 0.109 0.111 0.186 0.100 0.122 ------- ------- ------- ------- ------- ------- First Penn-Pacific Universal Life 0.026 0.021 0.024 0.023 0.022 0.023 Term 0.013 0.013 0.010 0.009 0.007 0.008 ------- ------- ------- ------- ------- ------- Total First Penn-Pacific 0.039 0.034 0.035 0.032 0.029 0.031 ------- ------- ------- ------- ------- ------- Total Segment by Product 0.144 0.142 0.145 0.218 0.129 0.154 ======= ======= ======= ======= ======= ======= First Year Premiums by Distribution (Billions) Lincoln Financial Advisors 0.044 0.035 0.050 0.065 0.035 0.046 Lincoln Financial Distributors 0.100 0.107 0.095 0.153 0.093 0.108 ------- ------- ------- ------- ------- ------- Total by Distribution 0.144 0.142 0.145 0.218 0.129 0.154 ======= ======= ======= ======= ======= ======= Individual Insurance In-Force (Billions) Universal Life & Other 108.817 110.448 112.884 115.872 116.747 118.007 Term Insurance 92.857 97.039 98.424 100.130 102.467 105.265 Total Segment In-Force 201.674 207.487 211.308 216.002 219.214 223.272 ======= ======= ======= ======= ======= ======= Life Insurance Segment Life Insurance Account Value Roll Forward Unaudited [Billions of Dollars] YTD YTD Jun Jun 1996 1997 1998 1999 2000 2000 2001 -------------------------------------------------------------------------------------------------------------------------- Lincoln Life Universal Life-Bal Beg-of-Year 1.507 1.538 1.479 5.093 5.385 5.385 5.645 Deposits 0.160 0.136 0.527 0.861 0.819 0.396 0.431 Withdrawals & deaths (0.221) (0.284) (0.575) (0.385) (0.347) (0.190) (0.125) ------- ------- ------- ------- ------- ------- ------- Net cash flows (0.061) (0.148) (0.048) 0.475 0.472 0.206 0.306 Policyholder assessments (0.483) (0.518) (0.256) (0.262) Interest credited 0.092 0.088 0.285 0.300 0.306 0.151 0.159 Acq of new business/companies 0.000 0.000 3.378 0.000 0.000 0.000 0.000 ------- ------- ------- ------- ------- ------- ------- Universal Life-Bal End of Year (1) 1.538 1.479 5.093 5.385 5.645 5.486 5.848 ------- ------- ------- ------- ------- ------- ------- Variable Universal Life-Bal Beg-of-Year 0.239 0.339 0.480 1.200 1.605 1.605 1.808 Deposits 0.095 0.106 0.193 0.326 0.607 0.240 0.273 Withdrawals & deaths (0.030) (0.040) (0.100) (0.099) (0.132) (0.047) (0.108) ------- ------- ------- ------- ------- ------- ------- Net cash flows 0.065 0.065 0.093 0.228 0.475 0.193 0.165 Policyholder assessments (0.084) (0.141) (0.065) (0.082) Invest inc & chg in mkt value 0.035 0.076 0.105 0.370 (0.130) 0.031 (0.125) Acq of new business/transfers between segments 0.000 0.000 0.522 (0.110) 0.000 0.000 0.000 ------- ------- ------- ------- ------- ------- ------- Variable Universal Life -Bal End-of-Year 0.339 0.480 1.200 1.605 1.808 1.764 1.766 ------- ------- ------- ------- ------- ------- ------- Interest Sensitive Whole Life - Bal Beg-of-Year 1.784 1.963 1.963 2.062 Deposits 0.340 0.355 0.322 0.131 0.125 Withdrawals & deaths (0.294) (0.162) (0.168) (0.079) (0.084) ------- ------- ------- ------- ------- ------- ------- Net cash flows 0.046 0.193 0.154 0.052 0.041 Policyholder assessments (0.168) (0.168) (0.078) (0.076) Interest credited 0.096 0.109 0.113 0.056 0.058 Acq of new business/companies 1.642 0.045 ------- ------- ------- ------- ------- ------- ------- Int Sensitive Whole Life-Bal End -of -Year 1.784 1.963 2.062 1.993 2.084 ------- ------- ------- ------- ------- ------- ------- Total Lincoln Life -Bal Beg-of-Year 1.746 1.877 1.959 8.077 8.952 8.952 9.516 Deposits 0.255 0.242 1.059 1.542 1.749 0.767 0.829 Withdrawals & deaths (0.251) (0.324) (0.968) (0.646) (0.647) (0.316) (0.317) ------- ------- ------- ------- ------- ------- ------- Net cash flows 0.004 (0.082) 0.091 0.896 1.102 0.451 0.512 Policyholder assessments (0.734) (0.827) (0.399) (0.421) Invest inc & chg in mkt value 0.127 0.164 0.486 0.778 0.289 0.238 0.092 Acq of new business/transfers between segments 5.542 (0.065) ------- ------- ------- ------- ------- ------- ------- Total Lincoln Life - Bal End -of -Year 1.877 1.959 8.077 8.952 9.516 9.242 9.698 ------- ------- ------- ------- ------- ------- ------- VUL Under Agree -included above 0.631 0.704 0.609 0.707 0.549 First Penn-Pacific (FPP) Universal Life-Bal Beg-of-Year 0.883 0.992 1.079 1.166 1.265 1.265 1.331 Deposits 0.150 0.142 0.148 0.156 0.135 0.067 0.066 Withdrawals & deaths (0.098) (0.115) (0.126) (0.067) (0.079) (0.042) (0.036) ------- ------- ------- ------- ------- ------- ------- Net cash flows 0.052 0.027 0.022 0.089 0.056 0.025 0.029 Policyholder assessments (0.060) (0.065) (0.032) (0.032) Interest credited 0.056 0.061 0.065 0.071 0.076 0.037 0.040 ------- ------- ------- ------- ------- ------- ------- FPP Universal Life-Bal End-of-Year 0.992 1.079 1.166 1.265 1.331 1.296 1.368 ------- ------- ------- ------- ------- ------- ------- Total Segment- Life Insurance Account Values Bal Beg-of-Year 2.629 2.869 3.038 9.243 10.217 10.217 10.847 Deposits 0.405 0.384 1.207 1.698 1.884 0.835 0.895 Withdrawals & deaths (0.349) (0.439) (1.095) (0.713) (0.727) (0.358) (0.354) ------- ------- ------- ------- ------- ------- ------- Net cash flows 0.056 (0.056) 0.113 0.985 1.158 0.477 0.541 Policyholder assessments (0.795) (0.893) (0.431) (0.453) Invest inc & change in market value 0.183 0.225 0.551 0.849 0.364 0.275 0.132 Acq(sale) of new business/companies 5.542 (0.065) ------- ------- ------- ------- ------- ------- ------- Total Segment -Bal End-of-Year 2.869 3.038 9.243 10.217 10.847 10.538 11.066 ======= ======= ======= ======= ======= ======= ======= 6/30/2001 PAGE 20 Life Insurance Segment Life Insurance Account Value Roll Forward Unaudited [Billions of Dollars] For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1998 1999 1999 1999 ------ ------ ------ ------ ------ ------ Lincoln Life Universal Life-Bal Beg-of-Quarter 2.939 3.013 5.093 5.183 5.219 5.279 Deposits 0.095 0.223 0.194 0.199 0.198 0.270 Withdrawals & deaths (0.063) (0.236) (0.050) (0.135) (0.091) (0.110) ------ ------ ------ ------ ------ ------ Net cash flows 0.032 (0.013) 0.144 0.064 0.107 0.160 Policyholder assessments 0.000 0.000 (0.116) (0.118) (0.121) (0.129) Interest credited 0.042 0.152 0.062 0.089 0.073 0.075 Acq of new business/ companies 1.941 0.000 0.000 ------ ------ ------ ------ ------ ------ Universal Life-Bal End-of-Quarter (1) 3.013 5.093 5.183 5.219 5.279 5.385 ------ ------ ------ ------ ------ ------ Variable Universal Life-Bal Beg of Quarter 0.608 0.561 1.200 1.177 1.298 1.285 Deposits 0.035 0.095 0.077 0.068 0.074 0.107 Withdrawals & deaths (0.013) (0.063) (0.011) (0.013) (0.049) (0.025) ------ ------ ------ ------ ------ ------ Net cash flows 0.022 0.032 0.066 0.055 0.025 0.082 Policyholder assessments 0.000 0.000 (0.020) (0.020) (0.020) (0.024) Invest inc & chg in mkt value (0.069) 0.103 0.040 0.087 (0.018) 0.262 Acq of new business/ transfers between segments 0.504 (0.110) 0.000 ------ ------ ------ ------ ------ ------ Variable Universal Life -Bal End-of-Quar 0.561 1.200 1.177 1.298 1.285 1.605 ------ ------ ------ ------ ------ ------ Interest Sensitive Whole Life - Bal Beg-of-Qua 1.730 1.729 1.784 1.865 1.895 1.922 Deposits 0.086 0.116 0.083 0.073 0.086 0.113 Withdrawals & deaths (0.116) (0.085) (0.039) (0.030) (0.044) (0.050) ------ ------ ------ ------ ------ ------ Net cash flows (0.030) 0.031 0.044 0.044 0.043 0.062 Policyholder assessments (0.039) (0.039) (0.042) (0.048) Interest credited 0.029 0.024 0.030 0.025 0.027 0.026 Acq of new business/ companies 0.045 ------ ------ ------ ------ ------ ------ Int Sensitive Whole Life-Bal End-of-Quart 1.729 1.784 1.865 1.895 1.922 1.963 ------ ------ ------ ------ ------ ------ Total Lincoln Life -Bal Beg-of-Quarter 5.276 5.303 8.077 8.225 8.412 8.485 Deposits 0.216 0.433 0.354 0.340 0.358 0.490 Withdrawals & deaths (0.192) (0.383) (0.100) (0.178) (0.184) (0.185) ------ ------ ------ ------ ------ ------ Net cash flows 0.024 0.050 0.254 0.163 0.175 0.305 Policyholder assessments (0.174) (0.176) (0.183) (0.201) Invest inc & chg in mkt value 0.003 0.279 0.132 0.201 0.082 0.363 Acq of new business/ transfers between segments 2.445 (0.065) ------ ------ ------ ------ ------ ------ Total Lincoln Life - Bal End-of-Quarter 5.303 8.077 8.225 8.412 8.485 8.952 ------ ------ ------ ------ ------ ------ VUL Under Agree - included above 0.044 0.631 0.699 0.770 0.681 0.704 ------ ------ ------ ------ ------ ------ First Penn-Pacific (FPP) Universal Life-Bal Beg-of-Quarter 1.118 1.140 1.166 1.191 1.215 1.240 Deposits 0.038 0.041 0.040 0.039 0.041 0.036 Withdrawals & deaths (0.032) (0.032) (0.017) (0.017) (0.019) (0.014) ------ ------ ------ ------ ------ ------ Net cash flows 0.006 0.009 0.023 0.022 0.022 0.022 Policyholder assessments (0.015) (0.015) (0.015) Interest credited 0.016 0.017 0.017 0.017 0.018 0.018 ------ ------ ------ ------ ------ ------ FPP Universal Life-Bal End-of-Quarter 1.140 1.166 1.191 1.215 1.240 1.265 ------ ------ ------ ------ ------ ------ Total Segment- Life Insurance Account Values Bal Beg-of-Quarter 6.394 6.443 9.243 9.416 9.628 9.726 Deposits 0.254 0.475 0.394 0.379 0.399 0.526 Withdrawals & deaths (0.224) (0.415) (0.117) (0.195) (0.202) (0.199) ------ ------ ------ ------ ------ ------ Net cash flows 0.030 0.060 0.277 0.185 0.197 0.327 Policyholder assessments (0.192) (0.198) (0.216) Invest inc & change in market value 0.019 0.295 0.149 0.219 0.100 0.381 Acq(sale) of new business/ companies 0.000 2.445 (0.065) 0.000 0.000 0.000 ------ ------ ------ ------ ------ ------ Total Segment -Bal End-of-Quarter 6.443 9.243 9.416 9.628 9.726 10.217 ------ ------ ------ ------ ------ ------ For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------ ------ ------ ------ ------ ------ Lincoln Life Universal Life-Bal Beg-of-Quarter 5.385 5.449 5.486 5.562 5.645 5.718 Deposits 0.216 0.181 0.192 0.231 0.194 0.236 Withdrawals & deaths (0.097) (0.093) (0.064) (0.093) (0.069) (0.056) ------ ------ ------ ------ ------ ------ Net cash flows 0.118 0.088 0.128 0.139 0.125 0.181 Policyholder assessments (0.129) (0.127) (0.129) (0.133) (0.131) (0.131) Interest credited 0.075 0.076 0.077 0.078 0.078 0.080 Acq of new business/ companies 0.000 ------ ------ ------ ------ ------ ------ Universal Life-Bal End-of-Quarter (1) 5.449 5.486 5.562 5.645 5.718 5.848 ------ ------ ------ ------ ------ ------ Variable Universal Life-Bal Beg of Quarter 1.605 1.771 1.764 1.812 1.808 1.633 Deposits 0.112 0.128 0.123 0.245 0.136 0.138 Withdrawals & deaths (0.019) (0.028) (0.037) (0.048) (0.049) (0.060) ------ ------ ------ ------ ------ ------ Net cash flows 0.093 0.100 0.085 0.197 0.087 0.078 Policyholder assessments (0.032) (0.033) (0.036) (0.041) (0.041) (0.041) Invest inc & chg in mkt value 0.105 (0.074) (0.001) (0.160) (0.221) 0.096 Acq of new business/ transfers between segments 0.000 0.000 ------ ------ ------ ------ ------ ------ Variable Universal Life -Bal End-of-Quar 1.771 1.764 1.812 1.808 1.633 1.766 ------ ------ ------ ------ ------ ------ Interest Sensitive Whole Life - Bal Beg-of-Qua 1.963 1.970 1.993 2.026 2.062 2.068 Deposits 0.060 0.071 0.079 0.113 0.056 0.069 Withdrawals & deaths (0.042) (0.037) (0.033) (0.056) (0.041) (0.043) ------ ------ ------ ------ ------ ------ Net cash flows 0.018 0.034 0.045 0.057 0.014 0.027 Policyholder assessments (0.039) (0.040) (0.040) (0.050) (0.037) (0.040) Interest credited 0.028 0.028 0.027 0.029 0.028 0.030 Acq of new business/ companies ------ ------ ------ ------ ------ ------ Int Sensitive Whole Life-Bal End-of-Quart 1.970 1.993 2.026 2.062 2.068 2.084 ------ ------ ------ ------ ------ ------ Total Lincoln Life -Bal Beg-of-Quarter 8.952 9.190 9.242 9.400 9.516 9.419 Deposits 0.387 0.380 0.393 0.589 0.386 0.443 Withdrawals & deaths (0.158) (0.158) (0.135) (0.196) (0.159) (0.158) ------ ------ ------ ------ ------ ------ Net cash flows 0.229 0.222 0.258 0.392 0.226 0.285 Policyholder assessments (0.199) (0.200) (0.205) (0.224) (0.209) (0.212) Invest inc & chg in mkt value 0.208 0.030 0.104 (0.053) (0.114) 0.206 Acq of new business/ transfers between segments ------ ------ ------ ------ ------ ------ Total Lincoln Life - Bal End-of-Quarter 9.190 9.242 9.400 9.516 9.419 9.698 ------ ------ ------ ------ ------ ------ VUL Under Agree - included above 0.743 0.707 0.698 0.609 0.527 0.549 ------ ------ ------ ------ ------ ------ First Penn-Pacific (FPP) Universal Life-Bal Beg-of-Quarter 1.265 1.280 1.296 1.317 1.331 1.345 Deposits 0.036 0.031 0.035 0.033 0.032 0.034 Withdrawals & deaths (0.024) (0.018) (0.016) (0.021) (0.022) (0.015) ------ ------ ------ ------ ------ ------ Net cash flows 0.013 0.013 0.019 0.012 0.011 0.019 Policyholder assessments (0.016) (0.016) (0.017) (0.017) (0.016) (0.016) Interest credited 0.019 0.019 0.019 0.019 0.020 0.020 ------ ------ ------ ------ ------ ------ FPP Universal Life-Bal End-of-Quarter 1.280 1.296 1.317 1.331 1.345 1.368 ------ ------ ------ ------ ------ ------ Total Segment- Life Insurance Account Values Bal Beg-of-Quarter 10.217 10.470 10.538 10.716 10.847 10.764 Deposits 0.424 0.411 0.428 0.622 0.418 0.477 Withdrawals & deaths (0.182) (0.176) (0.151) (0.218) (0.181) (0.173) ------ ------ ------ ------ ------ ------ Net cash flows 0.242 0.235 0.277 0.404 0.237 0.304 Policyholder assessments (0.215) (0.216) (0.221) (0.241) (0.225) (0.228) Invest inc & change in market value 0.227 0.048 0.123 (0.033) (0.094) 0.226 Acq(sale) of new business/ companies 0.000 0.000 0.000 0.000 0.000 0.000 ------ ------ ------ ------ ------ ------ Total Segment -Bal End-of-Quarter 10.470 10.538 10.716 10.847 10.764 11.066 ------ ------ ------ ------ ------ ------ (1) Includes fixed investment option of VUL products. 6/30/2001 PAGE 21 Reinsurance Income Statements & Operational Data Unaudited [Millions of Dollars] YTD YTD Jun Jun For the Year Ended December 31 1996 1997 1998 1999 2000 2000 2001 ------ ------ ------ ------ ------ ------ ------ Operating Revenue Life and annuity premiums 472.2 466.7 592.0 743.1 968.5 456.5 581.9 Health premiums 775.6 566.1 628.6 692.3 404.6 199.5 199.1 Surrender charges 2.7 3.4 3.3 2.8 3.7 2.0 1.2 Mortality assessments 0.0 0.0 0.7 0.7 0.0 0.0 0.0 Expense assessments 0.0 0.0 0.3 0.3 (0.0) (0.0) (0.0) Other revenue and fees 28.7 35.5 37.9 62.5 71.3 27.7 26.2 Net investment income 264.2 288.6 315.0 316.6 320.3 164.7 157.1 Equity earnings in unconsol affiliates 0.0 2.1 3.3 5.8 2.1 1.2 0.9 ------ ------ ------ ------ ------ ------ ------ Operating Revenue 1543.3 1362.3 1581.2 1824.1 1770.6 851.6 966.5 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Life and annuity policy benefits 305.7 321.4 452.2 530.6 716.1 338.9 411.1 Div accum & div to policyholders 9.3 9.3 7.3 6.9 6.7 2.8 2.5 Interest credited to policy bal. 40.3 50.3 44.1 47.3 42.2 17.5 17.9 Health policy benefits 658.6 824.4 556.3 646.5 434.8 226.9 187.1 Underwriting, acquisition, insurance and other expenses 413.0 388.0 359.9 531.7 380.5 177.3 219.6 Goodwill amortization 0.0 0.0 0.0 0.4 1.8 0.9 0.9 Interest on notes payable 2.9 0.0 1.0 11.2 5.0 5.1 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 1429.7 1593.6 1419.7 1764.4 1593.2 769.2 844.2 ------ ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 113.5 (231.3) 161.4 59.7 177.3 82.4 122.3 Federal income taxes 38.7 (81.2) 56.5 19.6 54.8 24.7 41.4 ------ ------ ------ ------ ------ ------ ------ Income from Operations (1) 74.8 (150.1) 104.9 40.1 122.5 57.7 80.9 Realized gains (losses) on investments 12.0 16.3 (2.6) 3.7 (0.9) 0.1 (6.4) Gains(losses) on derivatives 0.0 Restructuring charges (3.2) 0.7 ------ ------ ------ ------ ------ ------ ------ Income before Accounting Changes 86.8 (133.8) 102.3 40.6 122.3 57.8 74.6 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 (2.4) ------ ------ ------ ------ ------ ------ ------ Net Income (1) 86.8 (133.8) 102.3 40.6 122.3 57.8 72.2 ====== ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amort. 74.8 (150.1) 104.9 40.5 124.2 58.6 81.8 Effective tax rate 34.1% 35.1% 35.0% 32.8% 30.9% 30.0% 33.9% Operating Revenue 1543.3 1362.3 1581.2 1824.1 1770.6 851.6 966.5 Realized gains (losses) on investments 18.5 25.3 (3.5) 5.7 (1.3) (0.0) (9.7) Gains(losses) on derivatives ------ ------ ------ ------ ------ ------ ------ Total Revenue 1561.8 1387.5 1577.7 1829.7 1769.3 851.6 956.8 ====== ====== ====== ====== ====== ====== ====== Revenue by Source Individual Markets 468.1 503.9 633.6 814.1 1053.4 496.0 625.6 Group Markets 158.7 131.6 130.6 168.0 318.0 163.3 172.0 Financial Reinsurance 531.1 365.2 279.3 344.5 127.3 64.3 53.5 Other 20.0 26.5 8.5 (5.0) 12.7 5.6 6.7 ------ ------ ------ ------ ------ ------ ------ Total Revenue, Excl Exited Businesses 1177.9 1027.2 1052.0 1321.6 1511.4 729.2 857.7 Exited Businesses Under Management (2) 383.9 360.3 525.7 508.1 257.9 122.4 99.0 ------ ------ ------ ------ ------ ------ ------ Total Revenue 1561.8 1387.5 1577.7 1829.7 1769.3 851.6 956.8 ====== ====== ====== ====== ====== ====== ====== Income from Operations by Source Individual Markets 49.8 71.9 83.5 91.9 90.6 41.8 64.3 Group Markets 10.2 3.3 1.6 (1.6) 7.5 2.2 5.6 Financial Reinsurance 17.5 15.5 17.1 21.7 20.3 11.2 10.5 Other (2.0) (2.0) (3.4) (4.4) (7.7) (3.3) (2.4) ------ ------ ------ ------ ------ ------ ------ Inc from Oper, Excl Exited Businesses 75.6 88.7 98.8 107.6 110.7 51.9 78.0 Exited Businesses Under Management (2) (0.8) (238.8) 6.1 (67.4) 11.8 5.8 2.9 ------ ------ ------ ------ ------ ------ ------ Inc from Operations (1) 74.8 (150.1) 104.9 40.1 122.5 57.7 80.9 ====== ====== ====== ====== ====== ====== ====== Risk Premium (3) 362.4 384.1 451.5 543.7 675.5 311.4 423.3 Individual Life Sales [Billions of Dollars] 26.6 39.5 78.1 116.8 139.5 67.2 59.2 Ind Life In-Force 130.8 153.1 213.6 306.6 407.4 354.0 447.8 Group Life In-Force 30.1 30.4 36.7 34.2 29.3 30.5 27.9 ------ ------ ------ ------ ------ ------ ------ Total Life In-Force 160.9 183.5 250.3 340.8 436.7 384.4 475.7 ====== ====== ====== ====== ====== ====== ====== [Billions of Dollars] Ratios [Percentages] Individual Life Mortality Actual to Expected Loss Ratio 93.0 84.9 87.8 88.9 97.8 98.1 92.5 Employer Stop Loss- Loss Ratio 67.6 52.8 77.7 84.3 74.0 73.7 72.6 Combined Ratio 93.3 84.7 108.4 115.0 99.4 100.3 96.4 Average Capital 651.7 791.8 966.6 1069.3 1078.3 1057.0 1081.3 Average Capital, Excl Exited Business 389.6 459.1 486.1 603.1 744.2 712.7 782.3 Return on Average Capital, Excl Exited Business 19.4% 19.3% 20.3% 17.8% 14.9% 14.6% 19.9% (1) 1999 and 1997 income includes special charges of $65.4 million and $243.7 million, respectively. (2) Exited Businesses Under Mgmt incl. disability inc., HMO excess-of-loss, carrier medical, personal accident and Seguros Serfin Lincoln (through March 2000). (3) Risk premium is an internal measure used to gauge the earnings power of the Individual Markets segment and is equal to total operating revenue less commissions, investment income on surplus, and that portion of revenue required to fund policy reserves. Reinsurance Income Statements & Operational Data Unaudited [Millions of Dollars] For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ------------------------------------------------------------------------------------------ Operating Revenue Life and annuity premiums 146.4 200.1 172.0 173.1 166.2 231.9 Health premiums 154.5 163.5 153.3 158.7 148.3 232.0 Surrender charges 1.6 0.9 1.2 0.4 0.6 0.7 Mortality assessments 0.7 0.7 0.1 0.0 (0.2) Expense assessments 0.3 0.4 (0.0) 0.0 (0.2) Other revenue and fees 12.9 12.0 10.6 13.3 6.6 32.0 Net investment income 79.2 80.3 79.6 79.2 80.8 77.0 Equity earnings in unconsol affiliates (0.2) 1.3 1.6 1.1 1.2 1.8 ------ ------ ------ ------ ------ ------ Operating Revenue 394.3 459.1 419.4 425.8 403.7 575.1 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Life and annuity policy benefits 91.1 192.4 124.3 123.0 108.8 174.5 Div accum & div to policyholders 2.3 1.6 1.3 1.5 1.9 2.2 Interest credited to policy bal. 14.6 12.2 8.9 10.9 6.0 21.5 Health policy benefits 139.7 129.0 143.5 161.7 187.4 153.9 Underwriting, acquisition, insurance and other expenses 102.2 85.2 89.1 92.9 94.9 254.8 Goodwill amortization 0.0 0.0 (0.0) (0.8) 0.8 0.4 Interest on notes payable 0.0 0.0 0.0 0.0 1.0 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 349.8 420.5 367.1 389.2 399.7 608.4 ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 44.5 38.6 52.4 36.7 3.9 (33.3) Federal income taxes 15.4 13.3 18.6 13.0 1.7 (13.7) ------ ------ ------ ------ ------ ------ Income from Operations (1) 29.1 25.3 33.8 23.7 2.2 (19.5) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments (5.1) (1.4) 0.7 0.3 0.3 2.4 Gains (losses) on derivatives Restructuring charges (3.2) ------ ------ ------ ------ ------ ------ Income before Accounting Changes 24.0 23.9 34.5 24.0 (0.7) (17.1) Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Net Income (1) 24.0 23.9 34.5 24.0 (0.7) (17.1) ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amortization 29.1 25.3 33.7 22.8 3.0 (19.1) Effective tax rate 34.6% 34.5% 35.5% 35.5% 43.3% 41.3% Operating Revenue 394.3 459.1 419.4 425.8 403.7 575.1 Realized gains (losses) on investments (8.5) (1.8) 1.2 0.4 0.4 3.6 Gains (losses) on derivatives ------ ------ ------ ------ ------ ------ Total Revenue 385.9 457.2 420.6 426.2 404.1 578.8 ====== ====== ====== ====== ====== ====== Revenue by Source (Including Investment Gains/Losses) Individual Markets 153.8 214.3 187.9 191.4 182.0 252.9 Group Markets 35.9 33.0 36.5 37.1 38.4 56.0 Financial Reinsurance 75.0 58.4 80.6 81.9 72.5 109.5 Other 2.5 (1.4) (2.7) (1.6) (1.0) 0.3 ------ ------ ------ ------ ------ ------ Total Revenue, Excl Exited Businesses 267.2 304.4 302.2 308.8 291.9 418.7 Exited Businesses Under Management (2) 118.7 152.9 118.4 117.4 112.2 160.0 ------ ------ ------ ------ ------ ------ Total Revenue 385.9 457.2 420.6 426.2 404.1 578.8 ====== ====== ====== ====== ====== ====== Income from Operations by Source Individual Markets 23.2 26.6 25.4 21.3 24.9 20.2 Group Markets 1.4 0.1 0.9 0.4 (1.3) (1.7) Financial Reinsurance 4.7 5.5 7.3 4.7 4.2 5.5 Other (1.1) (0.5) (1.1) (1.1) (0.7) (1.4) ------ ------ ------ ------ ------ ------ Inc from Oper, Excl Exited Businesses 28.1 31.6 32.5 25.4 27.1 22.6 Exited Businesses Under Management (2) 1.0 (6.3) 1.3 (1.7) (24.8) (42.2) ------ ------ ------ ------ ------ ------ Income from Operations 29.1 25.3 33.8 23.7 2.2 (19.5) ====== ====== ====== ====== ====== ====== Risk Premium (3) 104.5 144.1 130.4 128.4 129.0 155.8 Individual Life Sales [Billions of Dollars] 16.5 40.2 18.5 20.0 28.8 49.6 Ind Life In-Force 178.3 213.6 225.1 240.0 261.5 306.6 Group Life In-Force 35.3 36.7 38.3 38.5 35.6 34.2 ------ ------ ------ ------ ------ ------ Total Life In-Force 213.6 250.3 263.4 278.5 297.1 340.8 ====== ====== ====== ====== ====== ====== [Billions of Dollars] Ratios [Percentages] Individual Life Mortality Actual to Expected Loss Ratio 78.0 94.3 85.8 88.9 81.7 97.2 Employer Stop Loss- Loss Ratio 66.3 114.3 68.5 81.0 100.8 84.5 Combined Ratio 98.7 141.8 100.8 119.1 133.1 111.8 Average Capital 1019.0 1019.6 1094.8 1064.9 1056.6 1060.9 Average Capital, Excl Exited Business 488.3 507.8 571.4 577.8 615.1 648.0 Return on Average Capital, Excluding Exited Business 23.0% 24.9% 22.8% 17.6% 17.6% 14.0% For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------ Operating Revenue Life and annuity premiums 227.4 229.1 238.9 273.2 320.0 261.9 Health premiums 57.0 142.6 116.5 88.6 104.2 94.9 Surrender charges 0.6 1.4 0.9 0.8 0.9 0.4 Mortality assessments 0.0 0.0 0.0 0.0 0.0 0.0 Expense assessments (0.0) (0.0) (0.0) (0.0) (0.0) (0.0) Other revenue and fees 15.8 11.9 22.9 20.8 11.3 15.0 Net investment income 91.0 73.7 78.5 77.2 77.9 79.2 Equity earnings in unconsol affiliates 1.0 0.2 0.2 0.6 0.9 0.0 ------ ------ ------ ------ ------ ------ Operating Revenue 392.7 458.9 457.9 461.0 515.1 451.4 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Life and annuity policy benefits 165.4 173.5 178.0 199.2 229.4 181.6 Div accum & div to policyholders 1.3 1.5 1.8 2.1 1.4 1.2 Interest credited to policy bal. 9.0 8.6 12.8 11.9 9.1 8.7 Health policy benefits 110.0 116.8 119.7 88.2 97.5 89.6 Underwriting, acquisition, insurance and other expenses 60.1 117.2 100.1 103.1 103.7 115.8 Goodwill amortization 0.4 0.4 0.4 0.4 0.4 0.4 Interest on notes payable 2.3 2.7 3.0 3.2 2.8 2.3 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 348.6 420.6 415.9 408.1 444.5 399.7 ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 44.2 38.2 42.0 52.9 70.6 51.7 Federal income taxes 12.2 12.4 13.8 16.3 23.8 17.6 ------ ------ ------ ------ ------ ------ Income from Operations (1) 31.9 25.8 28.2 36.6 46.8 34.1 ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 1.2 (1.1) (2.2) 1.2 (4.6) (1.7) Gains (losses) on derivatives 0.0 (0.0) Restructuring charges 0.7 ------ ------ ------ ------ ------ ------ Income before Accounting Changes 33.1 24.7 26.0 38.5 42.2 32.4 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 (0.1) (2.2) ------ ------ ------ ------ ------ ------ Net Income (1) 33.1 24.7 26.0 38.5 42.0 30.2 ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amortization 32.3 26.3 28.6 37.0 47.2 34.6 Effective tax rate 27.7% 32.5% 32.9% 30.8% 33.8% 34.0% Operating Revenue 392.7 458.9 457.9 461.0 515.1 451.4 Realized gains (losses) on investments 1.7 (1.7) (3.5) 2.2 (7.1) (2.7) Gains (losses) on derivatives 0.0 0.0 ------ ------ ------ ------ ------ ------ Total Revenue 394.4 457.2 454.4 463.2 508.0 448.7 ====== ====== ====== ====== ====== ====== Revenue by Source (Including Investment Gains/Losses) Individual Markets 246.8 249.2 262.4 295.0 340.7 284.9 Group Markets 87.7 75.6 77.5 77.2 84.9 87.1 Financial Reinsurance 34.6 29.8 29.4 33.6 24.8 28.7 Other 3.1 2.5 3.9 3.2 3.8 2.9 ------ ------ ------ ------ ------ ------ Total Revenue, Excl Exited Businesses 372.2 357.1 373.1 409.0 454.2 403.5 Exited Businesses Under Management (2) 22.3 100.1 81.3 54.2 53.8 45.2 ------ ------ ------ ------ ------ ------ Total Revenue 394.4 457.2 454.4 463.2 508.0 448.7 ====== ====== ====== ====== ====== ====== Income from Operations by Source Individual Markets 19.2 22.6 20.5 28.3 39.5 24.8 Group Markets 1.0 1.2 1.5 3.7 2.5 3.2 Financial Reinsurance 7.2 4.0 4.5 4.6 3.7 6.8 Other (1.7) (1.6) (1.1) (3.3) (1.1) (1.3) ------ ------ ------ ------ ------ ------ Inc from Oper, Excl Exited Businesses 25.7 26.3 25.4 33.4 44.6 33.4 Exited Businesses Under Management (2) 6.2 (0.4) 2.8 3.2 2.2 0.7 ------ ------ ------ ------ ------ ------ Income from Operations 31.9 25.8 28.2 36.6 46.8 34.1 ====== ====== ====== ====== ====== ====== Risk Premium (3) 152.9 158.5 179.0 185.1 229.0 194.3 Individual Life Sales [Billions of Dollars] 30.0 37.2 37.2 35.2 30.9 28.3 Ind Life In-Force 325.9 354.0 381.4 407.4 426.2 447.8 Group Life In-Force 32.5 30.5 31.2 29.3 27.2 27.9 ------ ------ ------ ------ ------ ------ Total Life In-Force 358.4 384.4 412.6 436.7 453.4 475.7 ====== ====== ====== ====== ====== ====== [Billions of Dollars] Ratios [Percentages] Individual Life Mortality Actual to Expected Loss Ratio 99.5 96.9 101.2 93.9 88.7 97.4 Employer Stop Loss- Loss Ratio 74.7 72.6 76.5 72.0 71.4 73.8 Combined Ratio 99.8 100.8 100.9 95.9 95.8 96.9 Average Capital 1075.0 1039.0 1075.0 1124.3 1100.0 1062.7 Average Capital, Excl Exited Business 692.7 732.7 761.1 790.1 773.5 791.1 Return on Average Capital, Excluding Exited Business 14.8% 14.3% 13.3% 16.9% 23.0% 16.9% (1) Third quarter 1999 and fourth quarter 1999 income includes special charges of $25.0 million and $40.4 million, respectively. The first quarter 2001 includes $25.5 million for a change in estimate of premiums receivable. (2) Exited Businesses Under Mgmt incl. disability inc., HMO excess-of-loss, carrier medical, personal accident and Seguros Serfin Lincoln (through March 2000). (3) Risk premium is an internal measure used to gauge the earnings power of the Individual Markets segment and is equal to total operating revenue less commissions, investment income on surplus, and that portion of revenue required to fund policy reserves. The risk premium for the first quarter 2001, includes the effect of the change in estimate for premiums receivable. Investment Management Income Statements Unaudited [Millions of Dollars] For the Year Ended December 31 1996 --------------------------------------------------------------------------------------------- Operating Revenue Investment advisory fees - External 199.8 Investment advisory fees - Insurance Assets 65.7 Other revenue and fees 59.3 Net investment income 75.8 ------ Operating Revenue 400.6 ------ Operating Benefits and Expenses Underwriting, acquisition, insurance and other expenses 350.1 Goodwill amortization 13.7 Interest on notes payable 0.0 ------ Operating Benefits and Expenses 363.8 ------ Income from Operations Before Tax 36.8 Federal income taxes 18.2 ------ Income from Operations 18.6 ------ Realized gains (losses) on investments 6.4 Gains(losses) on derivatives Restructuring Charges 0.0 ------ Income before Accounting Changes 25.0 Cumulative effect of accounting changes ------ Net Income 25.0 ====== Income from Operations- before Goodwill Amortization 32.4 Income from Operations - before Goodwill & Intang. Amort 42.6 Operating Revenue 400.6 Realized gains (losses) on investments 9.9 Gains(losses) on derivatives ------ Total Revenue 410.5 ====== Average Capital (Securities at Cost) 646.1 Return on Capital 2.9% For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 --------------------------------------------------------------------------------------------- Operating Revenue Investment advisory fees - External 58.3 62.5 65.1 62.5 60.7 60.3 Investment advisory fees - Insurance Assets 20.5 20.8 21.0 20.7 19.9 22.1 Other revenue and fees 22.4 24.9 25.6 26.3 24.9 29.8 Net investment income 15.8 16.7 14.9 14.1 13.9 13.9 ------ ------ ------ ------ ------ ------ Operating Revenue 117.0 124.9 126.6 123.6 119.3 126.1 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Underwriting, acquisition, insurance and other expenses 99.0 98.5 97.8 97.3 92.8 96.3 Goodwill amortization 4.1 4.1 4.1 4.1 4.1 4.1 Interest on notes payable 0.1 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Operating Benefits & Expenses 103.2 102.6 101.9 101.4 96.8 100.4 ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 13.8 22.3 24.7 22.2 22.5 25.7 Federal income taxes 6.4 7.7 9.4 7.9 7.7 9.1 ------ ------ ------ ------ ------ ------ Income from Operations 7.4 14.6 15.4 14.3 14.7 16.5 ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments (3.7) 1.8 0.2 (0.3) (0.3) 0.4 Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 Restructuring Charges 0.0 0.0 (12.1) 0.0 0.0 2.9 ------ ------ ------ ------ ------ ------ Income before Accounting Changes 3.6 16.4 3.4 14.0 14.4 19.8 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Net Income 3.6 16.4 3.4 14.0 14.4 19.8 ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amortization 11.4 18.7 19.4 18.4 18.8 20.6 Inc from Oper -before Goodwill & Intang. Amort 14.5 21.9 22.4 21.3 21.7 23.3 Operating Revenue 117.0 124.9 126.6 123.6 119.3 126.1 Realized gains (losses) on investments (6.3) 3.0 0.2 (0.4) (0.5) 0.6 Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Total Revenue 110.7 127.9 126.8 123.2 118.8 126.6 ====== ====== ====== ====== ====== ====== Average Capital (Securities at Cost) 641.4 635.3 612.6 591.6 587.2 584.2 Return on Capital 4.6% 9.2% 10.0% 9.7% 10.0% 11.3% YTD YTD Jun Jun For the Year Ended December 31 1997 1998 1999 2000 2000 2001 --------------------------------------------------------------------------------------------- Operating Revenue Investment advisory fees - External 229.9 249.0 248.6 231.6 117.9 99.0 Investment advisory fees - Insurance Assets 68.5 82.5 83.6 88.9 43.3 46.2 Other revenue and fees 76.3 92.5 106.6 115.9 62.9 52.0 Net investment income 72.8 67.0 56.9 57.7 25.6 27.1 ------ ------ ------ ------ ------ ------ Operating Revenue 447.5 491.0 495.6 494.2 249.8 224.4 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Underwriting, acquisition, insurance and other expenses 396.1 401.5 384.3 408.7 201.8 206.4 Goodwill amortization 15.5 16.3 16.2 16.2 8.1 8.1 Interest on notes payable 0.2 0.3 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 411.8 418.2 400.5 425.0 209.9 214.5 ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 35.8 72.8 95.1 69.2 39.9 9.9 Federal income taxes 17.7 28.9 34.1 25.1 14.3 3.8 ------ ------ ------ ------ ------ ------ Income from Operations 18.1 43.9 61.0 44.1 25.5 6.1 ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 7.0 0.5 (0.1) (2.5) (2.1) (1.2) Gains(losses) on derivatives Restructuring Charges 0.0 0.0 (9.2) (4.6) (2.7) 0.0 ------ ------ ------ ------ ------ ------ Income before Accounting Changes 25.1 44.4 51.6 37.0 20.7 4.9 Cumulative effect of accounting changes (0.1) ------ ------ ------ ------ ------ ------ Net Income 25.1 44.4 51.6 37.0 20.7 4.8 ====== ====== ====== ====== ====== ====== Income from Operations- before Goodwill Amortization 33.6 60.3 77.2 60.3 33.6 14.2 Income from Operations - before Goodwill & Intang. Amort 45.2 72.6 88.7 70.9 39.1 18.3 Operating Revenue 447.5 491.0 495.6 494.2 249.8 224.4 Realized gains (losses) on investments 11.6 0.9 (0.1) (3.9) (3.3) (1.8) Gains(losses) on derivatives ------ ------ ------ ------ ------ ------ Total Revenue 459.1 491.9 495.5 490.3 246.5 222.6 ====== ====== ====== ====== ====== ====== Average Capital (Securities at Cost) 653.3 642.3 593.9 575.2 587.2 545.6 Return on Capital 2.8% 6.8% 10.3% 7.7% 8.7% 2.2% For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 -------------------------------------------------------------------------------------------- Operating Revenue Investment advisory fees - External 60.0 57.9 56.9 56.7 49.3 49.7 Investment advisory fees - Insurance Assets 21.0 22.3 22.5 23.1 23.2 23.0 Other revenue and fees 31.9 31.0 26.4 26.6 26.3 25.7 Net investment income 13.0 12.6 18.3 13.8 14.1 13.0 ------ ------ ------ ------ ------ ------ Operating Revenue 126.0 123.8 124.1 120.2 113.0 111.4 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Underwriting, acquisition, insurance and other expenses 102.5 99.3 103.9 103.0 104.7 101.6 Goodwill amortization 4.1 4.1 4.1 4.1 4.1 4.1 Interest on notes payable 0.0 0.0 0.0 (0.0) 0.0 0.0 ------ ------ ------ ------ ------ ----- Operating Benefits & Expenses 106.6 103.3 107.9 107.1 108.8 105.7 ------ ------ ------ ------ ------ ----- Income from Operations Before Tax 19.4 20.5 16.2 13.1 4.2 5.7 Federal income taxes 7.0 7.4 6.3 4.4 1.8 2.0 ------ ------ ------ ------ ------ ----- Income from Operations 12.4 13.1 9.9 8.7 2.4 3.7 ------ ------ ------ ------ ------ ----- Realized gains (losses) on investments (0.1) (2.0) (0.2) (0.2) (0.5) (0.7) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 Restructuring Charges 0.0 (2.7) 0.0 (1.9) 0.0 0.0 ------ ------ ------ ------ ------ ----- Income before Accounting Changes 12.3 8.4 9.7 6.6 2.0 3.0 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 (0.1) ------ ------ ------ ------ ------ ----- Net Income 12.3 8.4 9.7 6.6 2.0 2.9 ====== ====== ====== ====== ====== ===== Inc from Oper -before Goodwill Amortization 16.5 17.1 14.0 12.7 6.5 7.7 Inc from Oper -before Goodwill & Intang. Amort 19.4 19.7 16.6 15.2 9.1 9.2 Operating Revenue 126.0 123.8 124.1 120.2 113.0 111.4 Realized gains (losses) on investments (0.2) (3.1) (0.4) (0.3) (0.7) (1.1) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ----- Total Revenue 125.8 120.7 123.8 120.0 112.3 110.3 ====== ====== ====== ====== ====== ===== Average Capital (Securities at Cost) 581.5 593.0 567.7 558.5 548.3 542.8 Return on Capital 8.6% 8.8% 7.0% 6.2% 1.8% 2.7% Investment Management Assets Under Management Roll Forward Unaudited [Billions of Dollars] YTD YTD JUN JUN 1996 1997 1998 1999 2000 2000 2001 --------------------------------------------------------------------------------------------------------------- Retail Fixed - Bal Beg-of-Year 6.094 5.853 8.125 8.217 7.424 7.424 6.499 Fund Sales 0.764 0.961 1.165 0.991 0.712 0.298 0.430 Redemptions (0.986) (1.271) (1.235) (1.424) (1.365) (0.772) (0.535) Net Money Market (0.079) (0.069) (0.140) (0.110) (0.207) (0.125) (0.020) Transfers (0.114) (0.220) 0.132 0.177 (0.159) (0.140) 0.040 ------- ------- ------- ------- ------- ------- ------- Net Cash Flows (0.415) (0.599) (0.078) (0.366) (1.019) (0.739) (0.085) Income Retained 0.237 0.276 0.291 0.276 0.240 0.124 0.104 Market Apprec/Deprec (0.062) 0.049 (0.121) (0.704) (0.146) (0.144) 0.126 Acq of New Company/Business 2.547 ------- ------- ------- ------- ------- ------- ------- Balance End-of-Year 5.853 8.125 8.217 7.424 6.499 6.667 6.643 ------- ------- ------- ------- ------- ------- ------- Retail Equity - Bal Beg-of-Year 9.974 13.152 17.754 22.080 23.383 23.383 21.174 Fund Sales 2.175 2.953 3.581 3.271 4.048 2.088 1.548 Redemptions (1.037) (1.926) (2.460) (4.971) (4.369) (2.521) (1.556) Net Money Market 0.000 (0.002) (0.001) 0.001 Transfers 0.188 0.209 0.730 (0.143) (0.178) (0.078) (0.114) ------- ------- ------- ------- ------- ------- ------- Net Cash Flows 1.327 1.236 1.849 (1.844) (0.498) (0.511) (0.122) Income Retained 0.039 0.005 0.220 0.120 0.083 0.054 0.022 Market Apprec/Deprec 1.812 3.317 2.256 3.028 (1.793) 0.204 (1.664) Acq of New Company/Business 0.043 ------- ------- ------- ------- ------- ------- ------- Balance at End-of-Year 13.152 17.754 22.080 23.383 21.174 23.129 19.411 ------- ------- ------- ------- ------- ------- ------- Total Retail - Bal Beg-of-Year 16.068 19.006 25.879 30.297 30.807 30.807 27.674 Retail Sales-Annuities 1.638 2.163 2.238 1.561 1.726 0.737 0.828 Retail Sales-Mutual Funds 0.849 1.218 1.913 2.153 2.452 1.396 0.766 Retail Sales-Wrap & Other 0.454 0.533 0.596 0.550 0.581 0.254 0.384 ------- ------- ------- ------- ------- ------- ------- Total Retail Sales 2.940 3.914 4.745 4.264 4.760 2.387 1.978 Redemptions (2.023) (3.197) (3.694) (6.396) (5.733) (3.294) (2.092) Net Money Market (0.079) (0.068) (0.141) (0.111) (0.206) (0.125) (0.020) Transfers 0.074 (0.011) 0.862 0.034 (0.337) (0.217) (0.074) ------- ------- ------- ------- ------- ------- ------- Net Cash Flows 0.912 0.637 1.772 (2.209) (1.517) (1.249) (0.208) Income Retained 0.276 0.281 0.511 0.396 0.323 0.178 0.127 Market Apprec/Deprec 1.750 3.366 2.136 2.324 (1.939) 0.062 (1.538) Acq of New Company/Business 2.590 ------- ------- ------- ------- ------- ------- ------- Balance at End-of-Year 19.006 25.879 30.297 30.807 27.674 29.796 26.054 ------- ------- ------- ------- ------- ------- ------- Institutional Fixed - Bal Beg-of-Year 2.956 3.580 5.708 6.955 6.937 6.937 6.111 Inflows 1.516 2.509 2.169 2.000 0.771 0.328 0.543 Withdrawals/Terminations (1.155) (0.787) (1.242) (1.699) (1.973) (0.873) (0.544) Transfers 0.015 0.013 (0.074) (0.001) (0.005) (0.006) 0.013 ------- ------- ------- ------- ------- ------- ------- Net Cash Flows 0.376 1.735 0.853 0.300 (1.207) (0.551) 0.012 Income Retained 0.145 0.225 0.333 0.346 0.294 0.156 0.113 Market Apprec/Deprec 0.104 0.118 0.061 (0.665) 0.087 (0.057) (0.427) Acq of New Company/Business 0.051 ------- ------- ------- ------- ------- ------- ------- Balance at End-of-Year 3.580 5.708 6.955 6.937 6.111 6.484 5.809 ------- ------- ------- ------- ------- ------- ------- Institutional Equity - Bal Beg-of-Year 21.619 22.886 24.871 24.235 23.630 23.630 19.111 Inflows 1.974 2.465 3.840 5.248 2.730 1.573 1.704 Withdrawals/Terminations (4.772) (6.447) (7.441) (7.801) (7.209) (4.687) (1.700) Transfers (0.007) (0.068) 0.047 0.011 (0.008) (0.002) 0.011 ------- ------- ------- ------- ------- ------- ------- Net Cash Flows (2.805) (4.049) (3.555) (2.542) (4.487) (3.116) 0.015 Income Retained 0.557 0.491 0.473 0.482 0.449 0.241 0.211 Market Apprec/Deprec 3.514 5.544 2.446 1.453 (0.481) (0.515) (0.933) Acq of New Company/Business ------- ------- ------- ------- ------- ------- ------- Balance at End-of-Year 22.886 24.871 24.235 23.630 19.111 20.239 18.405 ------- ------- ------- ------- ------- ------- ------- Total Institutional - Bal Beg-of-Year 24.575 26.465 30.579 31.191 30.567 30.567 25.222 Inflows 3.490 4.975 6.009 7.249 3.501 1.901 2.247 Withdrawals/Terminations (5.928) (7.234) (8.683) (9.500) (9.182) (5.560) (2.244) Transfers 0.008 (0.055) (0.027) 0.011 (0.014) (0.009) 0.024 ------- ------- ------- ------- ------- ------- ------- Net Cash Flows (2.429) (2.314) (2.702) (2.240) (5.694) (3.668) 0.027 Income Retained 0.702 0.716 0.806 0.829 0.743 0.395 0.324 Market Apprec/Deprec 3.618 5.662 2.508 0.789 (0.394) (0.572) (1.360) Acq of New Company/Business 0.051 ------- ------- ------- ------- ------- ------- ------- Balance at End-of-Year 26.465 30.579 31.191 30.567 25.222 26.722 24.214 ------- ------- ------- ------- ------- ------- ------- Total Retail/Institutional - At End- 45.471 56.458 61.488 61.374 52.895 56.518 50.268 of-Year ------- ------- ------- ------- ------- ------- ------- Insurance Assets - At End-of-Year 37.453 35.684 39.432 35.934 35.686 34.891 36.018 ------- ------- ------- ------- ------- ------- ------- Total Assets Under Management ------- ------- ------- ------- ------- ------- ------- At End-of-Year 82.924 92.142 100.920 97.308 88.581 91.409 86.286 ======= ======= ======= ======= ======= ======= ======= Investment Management Assets Under Management Roll Forward Unaudited [Billions of Dollars] Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 --------------------------------------------------------------------------------------- Retail Fixed - Bal-Beg-of-Qtr 8.260 8.287 8.217 8.233 7.945 7.680 Fund Sales 0.381 0.246 0.316 0.263 0.231 0.181 Redemptions (0.302) (0.387) (0.313) (0.366) (0.342) (0.403) Net Money Market (0.034) (0.000) (0.019) (0.033) (0.029) (0.030) Transfers 0.029 0.007 0.032 (0.043) 0.034 0.154 ------ ------ ------- ------- ------- ------- Net Cash Flows 0.074 (0.134) 0.016 (0.179) (0.106) (0.098) Income Retained 0.076 0.076 0.066 0.074 0.069 0.067 Market Apprec/Deprec (0.122) (0.012) (0.067) (0.185) (0.228) (0.225) ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 8.287 8.217 8.233 7.945 7.680 7.424 ------ ------ ------- ------- ------- ------- Retail Equity - Bal-Beg-of-Qtr 21.456 18.785 22.080 21.798 22.340 20.873 Fund Sales 0.830 0.802 0.856 0.790 0.730 0.894 Redemptions (0.547) (0.915) (1.030) (1.957) (0.865) (1.120) Net Money Market 0.000 0.000 0.000 (0.001) 0.000 0.000 Transfers (0.032) (0.011) (0.034) 0.036 (0.060) (0.086) ------ ------ ------- ------- ------- ------- Net Cash Flows 0.252 (0.124) (0.208) (1.132) (0.195) (0.312) Income Retained 0.134 (0.001) 0.053 0.061 0.007 0.000 Market Apprec/Deprec (3.056) 3.420 (0.128) 1.614 (1.279) 2.822 ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 18.785 22.080 21.798 22.340 20.873 23.383 ------ ------ ------- ------- ------- ------- Total Retail - Bal-Beg-of-Qtr 29.716 27.072 30.297 30.031 30.285 28.553 Retail Sales-Annuities 0.541 0.507 0.428 0.393 0.332 0.409 Retail Sales-Mutual Funds 0.531 0.403 0.565 0.487 0.514 0.587 Retail Sales-Wrap & Other 0.139 0.136 0.182 0.173 0.116 0.079 ------ ------ ------- ------- ------- ------- Total Retail Sales 1.211 1.046 1.175 1.053 0.962 1.075 Redemptions (0.849) (1.302) (1.343) (2.323) (1.207) (1.523) Net Money Market (0.034) 0.000 (0.019) (0.033) (0.029) (0.030) Transfers (0.003) (0.004) (0.001) (0.006) (0.027) 0.068 ------ ------ ------- ------- ------- ------- Net Cash Flows 0.325 (0.260) (0.188) (1.309) (0.301) (0.410) Income Retained 0.210 0.075 0.119 0.134 0.076 0.067 Market Apprec/Deprec (3.180) 3.409 (0.196) 1.429 (1.507) 2.597 ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 27.072 30.297 30.031 30.285 28.553 30.807 ------ ------ ------- ------- ------- ------- Institutional Fixed - Bal-Beg-of-Qtr 6.400 6.769 6.955 6.984 7.264 7.218 Inflows 0.566 0.170 0.657 0.478 0.446 0.420 Withdrawals/Terminations (0.325) (0.225) (0.415) (0.210) (0.294) (0.781) Transfers (0.046) 0.008 (0.003) 0.003 (0.002) 0.001 ------ ------ ------- ------- ------- ------- Net Cash Flows 0.195 (0.047) 0.239 0.271 0.150 (0.360) Income Retained 0.101 0.060 0.089 0.079 0.110 0.068 Market Apprec/Deprec 0.073 0.173 (0.300) (0.070) (0.306) 0.011 ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 6.769 6.955 6.984 7.264 7.218 6.937 ------ ------ ------- ------- ------- ------- Institutional Equity - Bal-Beg-of-Qtr 26.064 21.702 24.235 22.927 23.962 23.098 Inflows 0.855 1.165 1.297 1.179 1.839 0.934 Withdrawals/Terminations (1.663) (2.072) (2.540) (2.052) (1.165) (2.043) Transfers 0.050 0.013 0.011 0.019 (0.008) (0.010) ------ ------ ------- ------- ------- ------- Net Cash Flows (0.759) (0.895) (1.232) (0.854) 0.666 (1.119) Income Retained 0.119 0.098 0.104 0.118 0.167 0.093 Market Apprec/Deprec (3.721) 3.330 (0.180) 1.771 (1.697) 1.559 ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 21.702 24.235 22.927 23.962 23.098 23.630 ------ ------ ------- ------- ------- ------- Total Institutional - Bal-Beg-of-Qtr 32.463 28.471 31.191 29.910 31.226 30.316 Inflows 1.421 1.335 1.953 1.656 2.284 1.354 Withdrawals/Terminations (1.988) (2.297) (2.955) (2.262) (1.458) (2.825) Transfers 0.003 0.021 0.008 0.022 (0.010) (0.009) ------ ------ ------- ------- ------- ------- Net Cash Flows (0.564) (0.942) (0.994) (0.584) 0.816 (1.480) Income Retained 0.220 0.158 0.193 0.197 0.277 0.161 Market Apprec/Deprec (3.649) 3.504 (0.480) 1.702 (2.003) 1.569 ------ ------ ------- ------- ------- ------- Balance at End-of-Qtr 28.471 31.191 29.910 31.226 30.316 30.567 ------ ------ ------- ------- ------- ------- Total Retail/Inst - At End-of-Qtr 55.543 61.488 59.941 61.511 58.869 61.374 Insurance Assets-End-of-Qtr 38.471 39.432 38.516 37.391 36.820 35.934 Total Assets Under Management ------ ------ ------- ------- ------- ------- At End-of-Qtr 94.014 100.920 98.457 98.902 95.689 97.308 ====== ====== ======= ======= ======= ======= Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 -------------------------------------------------------------------------------------- Retail Fixed - Bal-Beg-of-Qtr 7.424 6.964 6.667 6.531 6.499 6.631 Fund Sales 0.146 0.152 0.213 0.200 0.235 0.195 Redemptions (0.444) (0.328) (0.321) (0.272) (0.255) (0.280) Net Money Market (0.067) (0.058) (0.031) (0.051) 0.010 (0.030) Transfers (0.095) (0.045) (0.033) 0.013 0.042 (0.002) ------- ------- ------ ------- ------- ------- Net Cash Flows (0.460) (0.279) (0.171) (0.109) 0.032 (0.117) Income Retained 0.061 0.063 0.059 0.057 0.054 0.050 Market Apprec/Deprec (0.062) (0.082) (0.023) 0.021 0.046 0.080 ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 6.964 6.667 6.531 6.499 6.631 6.643 ------- ------- ------ ------- ------- ------- Retail Equity - Bal-Beg-of-Qtr 23.383 24.102 23.129 23.680 21.174 17.935 Fund Sales 1.220 0.868 0.904 1.055 0.888 0.660 Redemptions (1.550) (0.971) (1.027) (0.820) (0.899) (0.657) Net Money Market 0.000 0.000 0.001 0.000 0.000 0.000 Transfers (0.096) 0.018 (0.033) (0.068) (0.068) (0.046) ------- ------- ------ ------- ------- ------- Net Cash Flows (0.426) (0.085) (0.154) 0.167 (0.079) (0.043) Income Retained 0.033 0.021 0.005 0.025 0.007 0.015 Market Apprec/Deprec 1.112 (0.908) 0.701 (2.698) (3.168) 1.504 ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 24.102 23.129 23.680 21.174 17.935 19.411 ------- ------- ------ ------- ------- ------- Total Retail - Bal-Beg-of-Qtr 30.807 31.066 29.796 30.211 27.673 24.566 Retail Sales-Annuities 0.379 0.358 0.453 0.536 0.455 0.373 Retail Sales-Mutual Funds 0.840 0.556 0.521 0.535 0.442 0.324 Retail Sales-Wrap & Other 0.148 0.106 0.143 0.184 0.227 0.157 ------- ------- ------ ------- ------- ------- Total Retail Sales 1.367 1.020 1.118 1.255 1.124 0.854 Redemptions (1.995) (1.299) (1.348) (1.092) (1.154) (0.938) Net Money Market (0.067) (0.058) (0.030) (0.051) 0.010 (0.030) Transfers (0.191) (0.026) (0.065) (0.054) (0.026) (0.048) ------- ------- ------ ------- ------- ------- Net Cash Flows (0.886) (0.363) (0.326) 0.058 (0.047) (0.160) Income Retained 0.095 0.083 0.063 0.082 0.061 0.066 Market Apprec/Deprec 1.051 (0.989) 0.677 (2.677) (3.122) 1.584 ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 31.066 29.796 30.211 27.674 24.566 26.054 ------- ------- ------ ------- ------- ------- Institutional Fixed - Bal-Beg-of-Qtr 6.937 6.873 6.484 6.275 6.111 5.890 Inflows 0.180 0.148 0.308 0.135 0.310 0.233 Withdrawals/Terminations (0.353) (0.520) (0.532) (0.568) (0.432) (0.112) Transfers (0.005) (0.001) 0.000 0.001 0.003 0.010 ------- ------- ------ ------- ------- ------- Net Cash Flows (0.178) (0.373) (0.224) (0.433) (0.119) 0.131 Income Retained 0.090 0.066 0.089 0.050 0.066 0.047 Market Apprec/Deprec 0.024 (0.081) (0.074) 0.219 (0.168) (0.259) ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 6.873 6.484 6.275 6.111 5.890 5.809 ------- ------- ------ ------- ------- ------- Institutional Equity - Bal-Beg-of-Qtr 23.630 20.303 20.239 19.041 19.111 17.311 Inflows 0.904 0.669 0.407 0.750 0.881 0.823 Withdrawals/Terminations (3.333) (1.354) (1.154) (1.368) (1.199) (0.501) Transfers (0.004) 0.002 (0.013) 0.007 0.019 (0.008) ------- ------- ------ ------- ------- ------- Net Cash Flows (2.433) (0.683) (0.760) (0.611) (0.299) 0.314 Income Retained 0.109 0.132 0.108 0.102 0.094 0.117 Market Apprec/Deprec (1.003) 0.488 (0.545) 0.579 (1.596) 0.663 ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 20.303 20.239 19.041 19.111 17.311 18.405 ------- ------- ------ ------- ------- ------- Total Institutional - Bal-Beg-of-Qtr 30.567 27.175 26.722 25.316 25.222 23.201 Inflows 1.084 0.817 0.715 0.885 1.191 1.056 Withdrawals/Terminations (3.686) (1.874) (1.686) (1.936) (1.631) (0.613) Transfers (0.009) 0.000 (0.012) 0.008 0.022 0.002 ------- ------- ------ ------- ------- ------- Net Cash Flows (2.611) (1.057) (0.983) (1.043) (0.418) 0.445 Income Retained 0.198 0.197 0.196 0.151 0.160 0.164 Market Apprec/Deprec (0.979) 0.407 (0.619) 0.798 (1.764) 0.404 ------- ------- ------ ------- ------- ------- Balance at End-of-Qtr 27.175 26.722 25.316 25.222 23.201 24.214 ------- ------- ------ ------- ------- ------- Total Retail/Inst - At End-of-Qtr 58.241 56.518 55.527 52.895 47.766 50.268 Insurance Assets-End-of-Qtr 35.541 34.891 34.981 35.686 36.324 36.018 Total Assets Under Management ------- ------- ------ ------- ------- ------- At End-of-Qtr 93.782 91.409 90.508 88.581 84.090 86.286 ======= ======= ====== ======= ======= ======= Lincoln UK Income Statements & Operational Data Unaudited [Millions of Dollars] YTD YTD Jun Jun For the Year Ended December 31 1996 1997 1998 1999 2000 2000 2001 ------------------------------------------------------------------------------------------------------- Operating Revenue Premiums 131.8 145.4 156.6 145.1 148.4 75.3 22.3 Surrender charges Mortality assessments 21.1 25.2 29.3 27.1 31.4 14.2 18.3 Expense assessments 153.4 166.1 153.6 182.3 178.1 90.9 75.1 Other revenue and fees 5.1 3.3 11.2 13.8 6.9 3.7 0.7 Net investment income 82.0 85.1 87.9 75.3 70.3 37.4 34.8 ------ ------ ------ ------ ------ ------ ------ Operating Revenue 393.3 425.2 438.6 443.6 435.0 221.6 151.2 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Benefits 133.9 339.6 151.0 306.2 178.5 72.5 41.9 Underwriting, acquisition, insurance and other expenses 157.7 184.5 175.6 223.5 180.0 99.9 70.8 Goodwill amortization 0.0 0.0 6.3 7.0 4.0 2.6 0.3 ------ ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 291.7 524.1 332.9 536.7 362.6 175.0 113.0 ------ ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 101.7 (99.0) 105.8 (93.1) 72.4 46.5 38.2 Federal income taxes 35.7 9.3 34.8 (79.2) 11.3 11.6 7.6 ------ ------ ------ ------ ------ ------ ------ Income from Operations 66.0 (108.3) 70.9 (13.9) 61.0 35.0 30.6 ------ ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 0.0 1.5 0.8 2.1 2.3 (0.4) 1.8 Gains(losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 0.0 Restructuring charges (6.5) (76.5) 0.0 0.0 ------ ------ ------ ------ ------ ------ ------ Income before Accounting Changes 66.0 (106.8) 71.7 (18.2) (13.2) 34.6 32.4 Cumulative effect of accounting changes 0.0 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ ------ Net Income 66.0 (106.8) 71.7 (18.2) (13.2) 34.6 32.4 ====== ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amort. 66.0 (108.3) 77.2 (6.9) 65.1 37.6 30.9 Effective tax rate 35.1% (9.4%) 32.9% 85.1% 15.7% 24.9% 20.0% Operating revenue 393.3 425.2 438.6 443.6 435.0 221.6 151.2 Realized gains (losses) on investments (0.2) 2.1 1.1 3.0 3.2 (0.5) 2.6 Gains(losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ ------ Total Revenue 393.2 427.3 439.7 446.6 438.2 221.0 153.8 ====== ====== ====== ====== ====== ====== ====== Average capital 601.1 618.1 517.7 551.2 488.2 508.6 550.9 Return on average capital 11.0% (17.5%) 13.7% (2.5%) 12.5% 13.8% 11.1% Unit Linked Assets - Beg-of-Year 4.307 5.074 5.643 6.265 7.220 7.220 6.441 Deposits 0.446 0.569 0.473 0.537 0.554 0.293 0.242 Withdrawals (incl. chgs) & Deaths (0.420) (0.503) (0.547) (0.566) (0.644) (0.331) (0.277) ------ ------ ------ ------ ------ ------ ------ Net Cash Flows 0.026 0.066 (0.074) (0.029) (0.090) (0.039) (0.035) Inv Inc & Chg in Mkt Val 0.269 0.682 0.662 1.154 (0.154) (0.030) (0.306) Acq of new business/companies 0.000 0.000 0.000 0.000 0.000 0.000 0.000 Foreign currency adjustment 0.472 (0.179) 0.035 (0.170) (0.536) (0.426) (0.332) ------ ------ ------ ------ ------ ------ ------ Unit Linked Assets - End-of-Year 5.074 5.643 6.265 7.220 6.441 6.726 5.768 ====== ====== ====== ====== ====== ====== ====== Individual Life In-force (Billions) 23.835 25.026 25.002 25.698 24.290 25.225 21.519 Exchange Rate - Dollars to Pounds For-the-Year 1.567 1.644 1.658 1.617 1.518 1.568 1.438 End-of-Year 1.713 1.651 1.660 1.615 1.493 1.517 1.415 Lincoln UK Income Statements & Operational Data Unaudited [Millions of Dollars] For the Quarter Ended Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ----------------------------------------------------------------------------------- Operating Revenue Premiums 33.7 52.3 43.9 29.0 33.5 38.7 Surrender charges Mortality assessments 7.3 7.6 6.7 7.7 7.7 5.0 Expense assessments 39.0 23.7 43.9 51.9 49.3 37.2 Other revenue and fees 1.2 1.6 2.9 3.5 3.6 3.8 Net investment income 21.4 23.6 21.7 19.6 16.2 17.7 ----- ------ ------ ------ ------ ------ Operating Revenue 102.6 108.7 119.2 111.8 110.3 102.4 ----- ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Benefits 36.3 45.7 35.7 31.5 27.2 211.8 Underwriting, acquisition, insurance and other expenses 44.1 33.6 55.3 55.2 61.6 51.4 Goodwill amortization 0.6 3.7 1.2 1.2 1.2 3.3 ----- ------ ------ ------ ------ ------ Operating Benefits and Expenses 80.9 83.0 92.2 87.9 90.1 266.6 ----- ------ ------ ------ ------ ------ Income from Operations Before Tax 21.7 25.7 27.0 23.9 20.2 (164.2) Federal income taxes 4.0 6.9 8.9 4.9 4.0 (97.1) ----- ------ ------ ------ ------ ------ Income from Operations 17.7 18.8 18.1 19.0 16.2 (67.1) ----- ------ ------ ------ ------ ------ Realized gains (losses) on investments 0.1 0.4 (0.0) 1.0 0.2 1.0 Gains (losses) on derivatives Restructuring charges (6.5) ----- ------ ------ ------ ------ ------ Income before Accounting Changes 17.8 19.2 18.0 20.0 16.4 (72.6) Cumulative effect of accounting 0.0 0.0 0.0 0.0 0.0 0.0 Changes ----- ------ ------ ------ ------ ------ Net Income 17.8 19.2 18.0 20.0 16.4 (72.6) ===== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amortization 18.3 22.5 19.3 20.2 17.4 (63.8) Effective tax rate 18.4% 27.0% 33.0% 20.4% 20.0% 59.1% Operating revenue 102.6 108.7 119.2 111.8 110.3 102.4 Realized gains (losses) on investments 0.2 0.5 (0.1) 1.4 0.3 1.4 Gains (losses) on derivatives ----- ------ ------ ------ ------ ------ Total Revenue 102.8 109.2 119.1 113.1 110.5 103.8 ===== ====== ====== ====== ====== ====== Average capital 522.6 533.8 519.2 526.9 573.5 585.0 Return on average capital 13.6% 14.1% 13.9% 14.4% 11.3% (45.9%) Unit Linked Assets Balance-Beg-of-Quarter (Billions) 6.310 5.711 6.265 6.348 6.503 6.568 Deposits 0.115 0.136 0.131 0.119 0.130 0.156 Withdrawals (incl. chgs) & Deaths (0.133) (0.139) (0.136) (0.137) (0.136) (0.158) Net Cash Flows (0.018) (0.003) (0.005) (0.017) (0.005) (0.002) Inv Inc & Chg in Mkt Val (0.687) 0.696 0.271 0.314 (0.214) 0.784 Acq of new business/companies 0.000 0.000 0.000 0.000 0.000 0.000 Foreign currency adjustment 0.107 (0.139) (0.184) (0.141) 0.284 (0.130) ----- ------ ------ ------ ------ ------ Unit Linked Assets - End-of-Quarter 5.711 6.265 6.348 6.503 6.568 7.220 ===== ====== ====== ====== ====== ====== Individual Life In-force (Billions) 25.612 25.002 25.246 25.107 26.235 25.698 Exchange Rate - Dollars to Pounds For-the-Quarter 1.666 1.661 1.631 1.602 1.614 1.625 End-of-Quarter 1.700 1.660 1.612 1.577 1.647 1.615 For the Quarter Ended Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ----------------------------------------------------------------------------------- Operating Revenue Premiums 39.0 36.3 32.5 40.5 12.8 9.6 Surrender charges Mortality assessments 6.3 8.0 9.6 7.5 9.4 8.9 Expense assessments 46.5 44.3 52.6 34.6 43.7 31.4 Other revenue and fees 2.4 1.3 2.0 1.3 0.6 0.1 Net investment income 18.9 18.5 16.1 16.7 17.9 16.9 ------ ------ ------ ------ ------ ------ Operating Revenue 113.2 108.4 112.8 100.6 84.4 66.9 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses Benefits paid or provided: Benefits 35.0 37.4 51.9 54.2 24.0 17.9 Underwriting, acquisition, insurance and other expenses 56.4 43.5 45.2 34.9 41.1 29.7 Goodwill amortization 1.3 1.3 1.2 0.2 0.2 0.2 ------ ------ ------ ------ ------ ------ Operating Benefits and Expenses 92.8 82.2 98.3 89.3 65.3 47.7 ------ ------ ------ ------ ------ ------ Income from Operations Before Tax 20.4 26.2 14.5 11.3 19.1 19.1 Federal income taxes 4.7 6.9 3.9 (4.2) 4.7 2.9 ------ ------ ------ ------ ------ ------ Income from Operations 15.7 19.3 10.6 15.5 14.4 16.2 ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments (0.2) (0.1) (0.0) 2.6 0.4 1.4 Gains (losses) on derivatives Restructuring charges (40.5) (36.1) ------ ------ ------ ------ ------ ------ Income before Accounting Changes 15.5 19.1 (29.9) (17.9) 14.8 17.6 Cumulative effect of accounting 0.0 0.0 0.0 0.0 0.0 0.0 Changes ------ ------ ------ ------ ------ ------ Net Income 15.5 19.1 (29.9) (17.9) 14.8 17.6 ====== ====== ====== ====== ====== ====== Inc from Oper -before Goodwill Amortization 17.1 20.5 11.8 15.7 14.5 16.4 Effective tax rate 22.9% 26.4% 27.2% (37.1%) 24.6% 15.3% ------ ------ ------ ------ ------ ------ Operating revenue 113.2 108.4 112.8 100.6 84.4 66.9 Realized gains (losses) on investments (0.4) (0.2) (0.0) 3.8 0.6 2.0 Gains (losses) on derivatives Total Revenue 112.8 108.2 112.8 104.3 84.9 68.9 ====== ====== ====== ====== ====== ====== Average capital 516.4 500.8 486.5 448.9 548.7 553.2 Return on average capital 12.2% 15.4% 8.7% 13.8% 10.5% 11.7% Unit Linked Assets Balance-Beg-of-Quarter (Billions) 7.220 7.031 6.726 6.499 6.441 5.677 Deposits 0.159 0.134 0.145 0.116 0.132 0.111 Withdrawals (incl. chgs) & Deaths (0.170) (0.162) (0.159) (0.153) (0.147) (0.131) Net Cash Flows (0.011) (0.028) (0.014) (0.037) (0.015) (0.020) Inv Inc & Chg in Mkt Val (0.077) 0.047 (0.025) (0.100) (0.421) 0.115 Acq of new business/companies 0.000 0.000 0.000 0.000 0.000 0.000 Foreign currency adjustment (0.101) (0.324) (0.189) 0.078 (0.328) (0.004) ------ ------ ------ ------ ------ ------ Unit Linked Assets - End-of-Quarter 7.031 6.726 6.499 6.441 5.677 5.768 ====== ====== ====== ====== ====== ====== Individual Life In-force (Billions) 26.514 25.225 24.535 24.290 21.894 21.519 Exchange Rate - Dollars to Pounds For-the-Quarter 1.599 1.536 1.482 1.454 1.455 1.421 End-of-Quarter 1.591 1.517 1.475 1.493 1.416 1.415 Other Operations Unaudited [Millions of Dollars] For the Year Ended December 31 1996 ---------------------------------------------------------------------------------------------- Revenue Lincoln Financial Advisors 111.0 Lincoln Financial Distributors 25.1 ------ Total Distribution 136.1 Other [Including Consolidating Adjustments] (119.3) ------ Operating Revenue 16.8 ------ Realized gains (losses) on investments (3.0) ------ Total Revenue 13.8 ====== Income (Loss) Lincoln Financial Advisors (10.2) Lincoln Financial Distributors (4.3) ------ Total Distribution (14.5) LNC Financing (49.4) LNC Operations * (14.8) Other Corporate 2.1 ------ Inc (Loss) from Operations (76.5) ------ Realized gains (losses) on investments (1.0) Gains(losses) on derivatives Restructuring charges ------ Income before Accounting Changes (77.5) Cumulative effect of accounting changes ------ Total Net Income (Loss) (77.5) ====== Sep Dec Mar Jun Sep Dec For the Quarter Ended 1998 1998 1999 1999 1999 1999 ---------------------------------------------------------------------------------------------- Revenue Lincoln Financial Advisors 74.8 81.7 67.0 73.9 78.0 106.3 Lincoln Financial Distributors 10.2 9.8 20.7 26.2 26.4 34.2 ------ ------ ------ ------ ------ ------ Total Distribution 85.0 91.5 87.6 100.1 104.4 140.5 Other [Including Consolidating Adjustments] (56.1) (57.2) (27.5) (41.9) (67.1) (149.2) ------ ------ ------ ------ ------ ------ Operating Revenue 28.9 34.3 60.1 58.2 37.3 (8.7) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 3.1 1.6 0.2 (1.7) 13.8 (3.6) Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 0.0 ------ ------ ------ ------ ------ ------ Total Revenue 32.1 35.9 60.4 56.6 51.1 (12.4) ====== ====== ====== ====== ====== ====== Income (Loss) Lincoln Financial Advisors (4.6) (6.4) (8.4) (9.7) (5.3) 2.7 Lincoln Financial Distributors (1.4) (1.6) (3.0) (5.3) (2.1) (3.7) ------ ------ ------ ------ ------ ------ Total Distribution (6.0) (8.0) (11.4) (15.0) (7.4) (1.0) LNC Financing (15.2) (19.3) (20.5) (21.4) (19.9) (21.6) LNC Operations * (4.2) (4.9) 0.0 0.0 0.0 0.0 Other Corporate 0.3 (2.1) (2.1) 0.9 (2.4) (1.4) ------ ------ ------ ------ ------ ------ Inc (Loss) from Oper (25.1) (34.3) (34.0) (35.6) (29.7) (23.9) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 1.9 4.1 0.1 (2.0) 9.5 (1.1) Gains (losses) on derivatives Restructuring charges (14.3) ------ ------ ------ ------ ------ ------ Income before Accounting Changes (23.1) (44.6) (33.9) (37.6) (20.2) (25.1) Cumulative effect of accounting changes ------ ------ ------ ------ ------ ------ Total Net Income (Loss) (23.1) (44.6) (33.9) (37.6) (20.2) (25.1) ====== ====== ====== ====== ====== ====== YTD YTD Jun Jun For the Year Ended December 31 1997 1998 1999 2000 2000 2001 ---------------------------------------------------------------------------------------------- > Revenue Lincoln Financial Advisors 130.1 292.9 325.2 394.2 182.4 165.0 Lincoln Financial Distributors 20.5 33.5 107.5 119.9 57.4 57.8 ------ ------ ------ ------ ------ ------ Total Distribution 150.6 326.4 432.6 514.0 239.8 222.8 Other [Including Consolidating Adjustments] (110.7) (199.2) (285.7) (309.2) (160.2) (197.1) ------ ------ ------ ------ ------ ------ Operating Revenue 39.9 127.2 147.0 204.8 79.6 25.7 ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 16.9 4.0 8.7 (3.7) (2.0) 1.2 ------ ------ ------ ------ ------ ------ Total Revenue 56.8 131.1 155.7 201.1 77.6 26.8 ====== ====== ====== ====== ====== ====== Income (Loss) Lincoln Financial Advisors (5.3) (23.7) (20.8) (11.7) (10.3) (19.1) Lincoln Financial Distributors (11.2) (8.2) (14.0) (18.5) (8.5) (18.4) ------ ------ ------ ------ ------ ------ Total Distribution (16.5) (31.9) (34.8) (30.2) (18.8) (37.5) LNC Financing (31.6) (51.5) (83.5) (84.9) (44.1) (43.7) LNC Operations * (18.4) (18.5) Other Corporate (6.7) 1.0 (5.0) (15.4) (7.2) 1.5 ------ ------ ------ ------ ------ ------ Inc (Loss) from Operations (73.2) (100.9) (123.2) (130.5) (70.1) (79.7) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments 8.6 5.3 6.5 (2.3) (1.3) 0.8 Gains(losses) on derivatives (0.0) Restructuring charges (14.3) 0.3 (1.2) ------ ------ ------ ------ ------ ------ Income before Accounting Changes (64.6) (109.9) (116.7) (132.5) (71.4) (80.2) Cumulative effect of accounting changes (0.3) ------ ------ ------ ------ ------ ------ Total Net Income (Loss) (64.6) (109.9) (116.7) (132.5) (71.4) (80.5) ====== ====== ====== ====== ====== ====== Mar Jun Sep Dec Mar Jun For the Quarter Ended 2000 2000 2000 2000 2001 2001 ---------------------------------------------------------------------------------------------- Revenue Lincoln Financial Advisors 89.4 92.9 93.9 117.9 81.2 83.8 Lincoln Financial Distributors 29.3 28.1 27.5 35.0 25.7 32.1 ------ ------ ------ ------ ------ ------ Total Distribution 118.8 121.0 121.4 152.9 106.9 115.9 Other [Including Consolidating Adjustments] (70.6) (89.6) (81.8) (67.2) (80.5) (116.6) ------ ------ ------ ------ ------ ------ Operating Revenue 48.2 31.4 39.6 85.6 26.4 (0.7) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments (2.5) 0.4 0.1 (1.8) (2.9) 4.1 Gains (losses) on derivatives 0.0 0.0 0.0 0.0 0.0 (0.1) ------ ------ ------ ------ ------ ------ Total Revenue 45.7 31.9 39.7 83.8 23.5 3.3 ====== ====== ====== ====== ====== ====== Income (Loss) Lincoln Financial Advisors (7.4) (2.9) (3.1) 1.6 (6.8) (12.3) Lincoln Financial Distributors (3.3) (5.2) (5.0) (5.1) (6.9) (11.5) ------ ------ ------ ------ ------ ------ Total Distribution (10.7) (8.1) (8.0) (3.4) (13.8) (23.8) LNC Financing (21.9) (22.2) (20.9) (19.8) (21.7) (22.0) LNC Operations * 0.0 0.0 0.0 0.0 0.0 0.0 Other Corporate (5.7) (1.5) 1.6 (9.8) (0.5) 2.0 ------ ------ ------ ------ ------ ------ Inc (Loss) from Oper (38.3) (31.7) (27.3) (33.1) (35.9) (43.8) ------ ------ ------ ------ ------ ------ Realized gains (losses) on investments (1.6) 0.3 (1.0) 0.0 (1.9) 2.7 Gains (losses) on derivatives 0.0 (0.1) Restructuring charges 0.3 (1.2) ------ ------ ------ ------ ------ ------ Income before Accounting Changes (39.9) (31.4) (28.3) (32.8) (37.8) (42.4) Cumulative effect of accounting changes (0.3) ------ ------ ------ ------ ------ ------ Total Net Income (Loss) (39.9) (31.4) (28.3) (32.8) (38.1) (42.4) ====== ====== ====== ====== ====== ====== * Starting with the first quarter of 1999, 100% of "LNC Operations" is allocated to the business segments. Prior periods have not been restated. Consolidated Domestic Retail Deposits/Account Balances Unaudited [Billions of Dollars] 1996 Deposits - For the Year ---------------------------------------------------------------------------------------------------- Annuities Segment - Fixed Annuities 1.852 Annuities Segment - Variable Annuities 2.746 Annuities Segment - Life Insurance 0.000 Life Insurance Segment - Life Insurance 0.405 Inv Mgmt - Annuities 1.638 Inv Mgmt - Mutual Funds 0.849 Inv Mgmt - Wrap Fee & Other 0.454 Consolidating Adjustments (0.684) ------ Gross Deposits 7.259 Account Balances - End of Year Annuities Segment - Fixed Annuities 15.818 Annuities Segment - Variable Annuities 20.383 Annuities Segment - Life Insurance Life Insurance Segment - Life Insurance 2.869 Inv Mgmt - Annuities 7.915 Inv Mgmt - Mutual Funds 9.017 Inv Mgmt - Wrap Fee & Other 2.074 Consolidating Adjustments (5.098) ------ Account Balances 52.978 Sep Dec Mar Jun Sep Dec 1998 1998 1999 1999 1999 1999 ---------------------------------------------------------------------------------------------------- Deposits - For the Quarter Annuities Segment - Fixed Annuities 0.346 0.335 0.489 0.654 0.678 0.741 Annuities Segment - Variable Annuities 0.647 0.633 0.635 0.651 0.634 0.634 Annuities Segment - Life Insurance 0.003 0.005 0.004 0.005 Life Insurance Segment - Life Insurance 0.254 0.475 0.394 0.379 0.399 0.526 Inv Mgmt - Annuities 0.541 0.507 0.428 0.393 0.332 0.409 Inv Mgmt - Mutual Funds 0.531 0.403 0.565 0.487 0.514 0.587 Inv Mgmt - Wrap Fee & Other 0.139 0.136 0.182 0.173 0.116 0.079 Consolidating Adjustments (0.232) (0.254) (0.142) (0.143) (0.096) (0.118) ------ ------ ------ ------ ------ ------ Gross Deposits 2.226 2.234 2.554 2.599 2.581 2.864 ------ ------ ------ ------ ------ ------ Account Balances - End of Quarter Annuities Segment - Fixed Annuities 16.476 16.505 16.656 16.779 16.934 16.791 Annuities Segment - Variable Annuities 29.476 33.358 34.148 37.233 35.613 41.493 Annuities Segment - Life Insurance 0.115 0.130 0.128 0.155 Life Insurance Segment - Life Insurance 6.443 9.243 9.416 9.628 9.726 10.217 Inv Mgmt - Annuities 12.270 14.257 14.166 14.981 14.004 15.526 Inv Mgmt - Mutual Funds 12.549 13.528 13.442 13.654 12.938 13.632 Inv Mgmt - Wrap Fee & Other 2.253 2.512 2.424 1.650 1.611 1.649 Consolidating Adjustments (7.326) (8.891) (8.798) (9.050) (8.387) (9.175) ------ ------ ------ ------ ------ ------ Account Balances 72.142 80.512 81.570 85.004 82.567 90.288 ------ ------ ------ ------ ------ ------ [STUB COLUMN OMITTED: SEE "Annuities & Investment Management, Net Flows" TABLE APPENDED BELOW.] YTD YTD Jun Jun 1997 1998 1999 2000 2000 2001 Deposits - For the Year ------------------------------------------------------------------------------------------------- Annuities Segment - Fixed Annuities 1.632 1.452 2.563 2.074 1.078 1.228 Annuities Segment - Variable Annuities 2.695 2.791 2.553 3.165 1.590 1.590 Annuities Segment - Life Insurance 0.000 0.000 0.017 0.014 0.006 0.007 Life Insurance Segment - Life Insurance 0.384 1.207 1.698 1.884 0.835 0.895 Inv Mgmt - Annuities 2.163 2.238 1.561 1.726 0.737 0.828 Inv Mgmt - Mutual Funds 1.218 1.913 2.153 2.452 1.396 0.766 Inv Mgmt - Wrap Fee & Other 0.533 0.596 0.550 0.581 0.254 0.384 Consolidating Adjustments (0.966) (1.041) (0.499) (0.406) (0.160) (0.465) ------ ------ ------ ------ ------ ------ Gross Deposits 7.658 9.157 10.597 11.491 5.736 5.233 Account Balances - End of Year Annuities Segment - Fixed Annuities 15.458 16.505 16.791 15.442 Annuities Segment - Variable Annuities 27.346 33.358 41.493 39.427 Annuities Segment - Life Insurance 0.155 0.160 Life Insurance Segment - Life Insurance 3.038 9.243 10.217 10.847 Inv Mgmt - Annuities 10.991 14.257 15.526 13.494 Inv Mgmt - Mutual Funds 12.484 13.528 13.632 12.805 Inv Mgmt - Wrap Fee & Other 2.403 2.512 1.649 1.375 Consolidating Adjustments (6.806) (8.891) (9.175) (7.753) ------ ------ ------ ------ Account Balances 64.914 80.512 90.288 85.797 Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------------- Deposits - For the Quarter Annuities Segment - Fixed Annuities 0.589 0.490 0.513 0.482 0.560 0.668 Annuities Segment - Variable Annuities 0.797 0.793 0.729 0.846 0.887 0.703 Annuities Segment - Life Insurance 0.003 0.003 0.004 0.004 0.003 0.004 Life Insurance Segment - Life Insurance 0.424 0.411 0.428 0.622 0.418 0.477 Inv Mgmt - Annuities 0.379 0.358 0.453 0.536 0.455 0.373 Inv Mgmt - Mutual Funds 0.840 0.556 0.521 0.535 0.442 0.324 Inv Mgmt - Wrap Fee & Other 0.148 0.106 0.143 0.184 0.227 0.157 Consolidating Adjustments (0.099) (0.062) (0.100) (0.145) (0.262) (0.202) ------ ------ ------ ------ ------ ------ Gross Deposits 3.081 2.655 2.691 3.064 2.729 2.504 ------ ------ ------ ------ ------ ------ Account Balances - End of Quarter Annuities Segment - Fixed Annuities 16.252 15.909 15.700 15.442 15.484 15.628 Annuities Segment - Variable Annuities 44.640 43.097 42.743 39.427 34.733 36.961 Annuities Segment - Life Insurance 0.169 0.165 0.166 0.160 0.147 0.157 Life Insurance Segment - Life Insurance 10.470 10.538 10.716 10.847 10.764 11.066 Inv Mgmt - Annuities 15.531 14.861 14.824 13.494 11.787 12.483 Inv Mgmt - Mutual Funds 14.201 13.604 14.102 12.805 11.091 11.748 Inv Mgmt - Wrap Fee & Other 1.335 1.331 1.285 1.375 1.688 1.823 Consolidating Adjustments (8.768) (8.419) (8.644) (7.753) (6.834) (7.007) ------ ------ ------ ------ ------ ------ Account Balances 93.831 91.086 90.893 85.797 78.860 82.860 ------ ------ ------ ------ ------ ------ Annuities & Investment Management Net Flows Unaudited [Billions of Dollars] Mar Jun Sep Dec Mar Jun 2000 2000 2000 2000 2001 2001 ------------------------------------------------------------------------------------------------- Annuities Segment (0.700) (0.682) (0.812) (0.681) (0.590) (0.196) Investment Management Segment (3.497) (1.420) (1.309) (0.985) (0.465) 0.285 Consolidating Adjustments 0.717 0.342 0.194 0.152 0.019 (0.034) ------ ------ ------ ------ ------ ------ Total Net Flows (3.480) (1.760) (1.927) (1.514) (1.036) 0.055 ====== ====== ====== ====== ====== ====== NOTE: Excludes amounts reported as Assets Under Management - Insurance Assets Consolidated Information - Individual Life Insurance In-Force Unaudited [Billions of Dollars] December 31 --------------------------------------------------------------------------------------------- Annuities Segment Life Insurance Segment Reinsurance Lincoln UK Consolidating Adjustment Total Sep Dec Mar Jun Sep Dec End of Quarter 1998 1998 1999 1999 1999 1999 --------------------------------------------------------------------------------------------- Annuities Segment 0.5 0.6 Life Insurance Segment 121.8 172.9 178.5 184.5 188.9 195.0 Reinsurance 178.3 213.6 225.1 240.0 261.5 306.6 Lincoln UK 25.6 25.0 25.2 25.1 26.2 25.7 Consolidating Adjustment (2.2) (9.9) (10.3) (10.6) (10.9) (11.3) ------- ------- ------- ------- ------- ------- Total 323.5 401.6 418.6 439.0 466.3 516.5 ======= ======= ======= ======= ======= ======= Consolidated Investment Data - Assets Managed Unaudited [Billions of Dollars] December 31 --------------------------------------------------------------------------------------------- Assets Managed by Source LNC's Investments and Cash: Fixed maturity securities Equity securities Other investments Total LNC Investments Separate accounts Cash and Invested Cash Discontinued Operations Total LNC Non-affiliate assets managed Total Assets Managed Assets Managed by Advisor Investment Management segment (See page 24 for additional detail) DLIA-Corp (Assets managed internally-see page 24) Lincoln (UK) Policy Loans (within business units) Non-LNC Affiliates Total Assets Managed Sep Dec Mar Jun Sep Dec End of Quarter 1998 1998 1999 1999 1999 1999 --------------------------------------------------------------------------------------------- Assets Managed by Source LNC's Investments and Cash: Fixed maturity securities 28.554 30.233 30.578 29.579 28.708 27.689 Equity securities 0.505 0.543 0.481 0.506 0.507 0.604 Other investments 6.705 7.154 7.071 7.278 7.317 7.286 ------- ------- ------- ------- ------- ------- Total LNC Investments 35.764 37.929 38.129 37.363 36.532 35.578 Separate accounts 37.559 43.409 44.339 47.864 46.229 53.654 Cash and invested cash 2.725 2.433 2.327 2.151 2.343 1.896 ------- ------- ------- ------- ------- ------- Total LNC 76.048 83.772 84.796 87.378 85.104 91.128 ------- ------- ------- ------- ------- ------- Non-affiliate assets managed 46.842 50.061 48.690 49.827 48.068 49.314 ------- ------- ------- ------- ------- ------- Total Assets Managed 122.890 133.833 133.486 137.205 133.172 140.443 ======= ======= ======= ======= ======= ======= Assets Managed by Advisor Investment Management segment 55.543 61.488 59.941 61.511 58.869 61.374 (See page 25 for additional detail) DLIA-Corp 38.471 39.432 38.516 37.391 36.820 35.934 (Assets managed internally-see page 25) Lincoln (UK) 6.932 7.573 7.631 7.746 7.849 8.589 Policy Loans (within business units) 1.517 1.840 1.842 1.847 1.863 1.892 Non-LNC Affiliates 20.426 23.499 25.555 28.710 27.771 32.654 ------- ------- ------- ------- ------- ------- Total Assets Managed 122.890 133.833 133.486 137.205 133.172 140.443 ======= ======= ======= ======= ======= ======= December 31 1996 1997 1998 1999 2000 -------------------------------------------------------------------------------------------- Annuities Segment 0.6 0.7 Life Insurance Segment 49.2 63.2 172.9 195.0 216.0 Reinsurance 130.8 153.1 213.6 306.6 407.4 Lincoln UK 23.8 25.0 25.0 25.7 24.3 Consolidating Adjustment (5.6) (9.9) (11.3) (11.4) ------- ------- ------- ------- ------- Total 203.8 235.7 401.6 516.5 637.0 ======= ======= ======= ======= ======= Mar Jun Sep Dec Mar Jun End of Quarter 2000 2000 2000 2000 2001 2001 -------------------------------------------------------------------------------------------- Annuities Segment 0.6 0.6 0.6 0.7 0.7 0.7 Life Insurance Segment 201.7 207.5 211.3 216.0 219.2 223.3 Reinsurance 325.9 354.0 381.4 407.4 426.2 447.8 Lincoln UK 26.5 25.2 24.5 24.3 21.9 21.5 Consolidating Adjustment (11.4) (11.5) (11.4) (11.4) (13.1) (12.7) ------- ------- ------- ------- ------- ------- Total 543.3 575.8 606.5 637.0 654.9 680.5 ======= ======= ======= ======= ======= ======= Dec Dec Dec Dec Dec December 31 1996 1997 1998 1999 2000 -------------------------------------------------------------------------------------------- Assets Managed by Source LNC's Investments and Cash: Fixed maturity securities 24.097 24.066 30.233 27.689 27.450 Equity securities 0.558 0.660 0.543 0.604 0.550 Other investments 5.076 5.092 7.154 7.286 7.369 ------- ------- ------- ------- ------- Total LNC Investments 29.730 29.819 37.929 35.578 35.369 Separate accounts 28.809 37.139 43.409 53.654 50.580 Cash and Invested Cash 1.145 3.795 2.433 1.896 1.927 Discontinued Operations 4.402 ------- ------- ------- ------- ------- Total LNC 64.086 70.752 83.772 91.128 87.876 ------- ------- ------- ------- ------- Non-affiliate assets managed 40.968 48.331 50.061 49.314 43.397 ------- ------- ------- ------- ------- Total Assets Managed 105.054 119.083 133.833 140.443 131.273 ======= ======= ======= ======= ======= Assets Managed by Advisor Investment Management segment 45.471 56.457 61.488 61.374 54.294 (See page 24 for additional detail) DLIA-Corp 37.453 35.684 39.432 35.934 34.287 (Assets managed internally-see page 24) Lincoln (UK) 6.107 6.775 7.573 8.589 7.873 Policy Loans (within business units) 0.758 0.763 1.840 1.892 1.961 Non-LNC Affiliates 15.265 19.404 23.500 32.654 32.857 ------- ------- ------- ------- ------- Total Assets Managed 105.054 119.083 133.833 140.443 131.273 ======= ======= ======= ======= ======= Mar Jun Sep Dec Mar Jun End of Quarter 2000 2000 2000 2000 2001 2001 -------------------------------------------------------------------------------------------- Assets Managed by Source LNC's Investments and Cash: Fixed maturity securities 27.745 27.078 27.264 27.450 27.811 27.874 Equity securities 0.588 0.560 0.570 0.550 0.560 0.534 Other investments 7.442 7.419 7.471 7.369 7.374 7.388 ------- ------- ------- ------- ------- ------- Total LNC Investments 35.775 35.057 35.305 35.369 35.744 35.796 Separate accounts 56.908 54.924 54.411 50.580 44.506 47.140 Cash and invested cash 1.510 1.619 1.436 1.927 2.015 1.502 ------- ------- ------- ------- ------- ------- Total LNC 94.192 91.601 91.152 87.876 82.266 84.438 ------- ------- ------- ------- ------- ------- Non-affiliate assets managed 47.150 45.945 45.119 43.397 41.904 44.069 ------- ------- ------- ------- ------- ------- Total Assets Managed 141.342 137.546 136.271 131.273 124.170 128.507 ======= ======= ======= ======= ======= ======= Assets Managed by Advisor Investment Management segment 58.241 56.518 55.527 52.895 47.766 50.268 (See page 25 for additional detail) DLIA-Corp 33.934 33.349 33.468 34.287 36.324 36.018 (Assets managed internally-see page 25) Lincoln (UK) 8.423 8.058 7.838 7.873 7.012 7.027 Policy Loans (within business units) 1.896 1.915 1.936 1.961 1.947 1.947 Non-LNC Affiliates 38.848 37.706 37.503 34.257 31.121 33.246 ------- ------- ------- ------- ------- ------- Total Assets Managed 141.342 137.546 136.271 131.273 124.170 128.507 ======= ======= ======= ======= ======= ======= Consolidated Investment Data Unaudited [Millions of Dollars except as noted] For the Year Ended December 31 1996 ----------------------------------------------------------------------------------------------- Net Investment Income Fixed Maturity Securities 1690.1 Equity Securities 14.4 Mortgage loans on real estate 292.7 Real estate 125.4 Policy loans 40.7 Invested cash 69.2 Other investments 14.7 ------- Investment revenue 2247.2 Investment expense 159.2 ------- Net Investment Income 2087.9 ------- Gross-up of Tax Exempt Income 9.7 ------- Adjusted Net Invest Income 2097.7 ======= Mean Invested Assets (Cost Basis) 27906.2 Ratio of Adjusted Net Invest Inc Over Mean Invested Assets 7.52% Investment Gains Realized Gains (Losses) on Investments 57.6 Gains(Losses) on Derivatives Incr (Decr) in Unreal Gains on Sec Avail-for-Sale (after DAC/Tax) (208.8) Incr (Decr) in Foreign Exchange 53.0 Securities Available-for-Sale [Billions of Dollars at End of Year] Fixed Maturity Sec (Market) 24.097 Fixed Maturity Sec (Adjusted Cost) 23.200 Equity Securities (Market) 0.558 Equity Securities (Adjusted Cost) 0.434 % of Fixed Maturity Securities (Based on Market) Treasuries and AAA 32.8% AA or better 41.9% BB or less 7.0% Sep Dec Mar Jun Sep Dec For the Quarter Ended 1998 1998 1999 1999 1999 1999 ----------------------------------------------------------------------------------------------- Net Investment Income Fixed Maturity Securities 512.8 544.5 557.8 575.8 551.2 548.0 Equity Securities 4.1 8.9 4.4 4.9 3.9 6.9 Mortgage loans on real estate 91.3 107.4 94.5 85.5 94.7 94.5 Real estate 20.3 18.4 19.4 18.4 13.7 12.5 Policy loans 24.6 29.8 28.6 28.6 29.4 29.9 Invested cash 40.7 44.0 32.4 23.4 32.4 22.0 Other investments 19.5 19.3 7.5 13.4 9.9 20.9 ------- ------- ------- ------- ------- ------- Investment revenue 713.4 772.4 744.6 750.1 735.2 734.9 Investment expense 63.8 57.7 35.1 49.3 38.1 34.8 ------- ------- ------- ------- ------- ------- Net Investment Income 649.6 714.7 709.5 700.8 697.1 700.1 ------- ------- ------- ------- ------- ------- Gross-up of Tax Exempt Income 2.3 3.0 1.8 2.0 1.7 2.6 ------- ------- ------- ------- ------- ------- Adjusted Net Invest Income 651.9 717.7 711.3 702.8 698.7 702.7 ======= ======= ======= ======= ======= ======= Mean Invested Assets (Cost Basis) 36445.0 37619.5 39174.2 39385.3 39111.8 38438.6 Ratio of Adjusted Net Invest Inc Over Mean Invested Assets 7.16% 7.63% 7.26% 7.14% 7.15% 7.31% Investment Gains Realized Gains (Losses) on Investments (17.3) 0.5 1.5 (3.5) 4.1 1.6 Gains (Losses) on Derivatives 0.0 0.0 0.0 0.0 0.0 0.0 Incr (Decr) in Unreal Gains on Sec Avail-for-Sale (after DAC/Tax) 304.2 (221.4) (297.7) (255.8) (102.7) (361.9) Incr (Decr) on Derivatives Incr (Decr) in Foreign Exchange 8.0 (9.8) (19.9) (9.5) 19.6 (10.2) Securities Available-for-Sale [Billions of Dollars at End of Year] Fixed Maturity Sec (Market) 28.554 30.233 30.578 29.579 28.708 27.689 Fixed Maturity Sec (Adjusted Cost) 26.610 28.640 29.681 29.494 28.974 28.357 Equity Securities (Market) 0.505 0.543 0.481 0.506 0.507 0.604 Equity Securities (Adjusted Cost) 0.470 0.437 0.380 0.385 0.414 0.482 % of Fixed Maturity Securities (Based on Market) Treasuries and AAA 26.1% 25.6% 26.3% 25.5% 24.2% 22.8% AA or better 33.3% 32.6% 33.2% 32.5% 31.1% 29.8% BB or less 6.3% 7.0% 7.1% 7.0% 7.5% 8.0% YTD YTD Jun Jun For the Year Ended December 31 1997 1998 1999 2000 2000 2001 ----------------------------------------------------------------------------------------------- Net Investment Income Fixed Maturity Securities 1832.1 2065.8 2232.9 2148.7 1085.7 1053.3 Equity Securities 19.1 22.8 20.1 19.5 9.4 8.8 Mortgage loans on real estate 279.2 383.6 369.2 373.8 187.1 188.0 Real estate 99.4 86.8 64.1 51.8 23.6 25.9 Policy loans 44.5 99.5 116.5 125.0 61.6 62.8 Invested cash 102.4 156.8 110.3 87.2 42.3 42.9 Other investments 20.6 88.4 51.8 66.8 37.1 37.8 ------- ------- ------- ------- ------- ------- Investment revenue 2397.3 2903.7 2964.8 2872.8 1446.8 1419.6 Investment expense 146.6 222.3 157.3 125.7 61.8 72.8 ------- ------- ------- ------- ------- ------- Net Investment Income 2250.8 2681.4 2807.5 2747.1 1385.0 1346.8 ------- ------- ------- ------- ------- ------- Gross-up of Tax Exempt Income 12.7 11.6 8.1 7.8 3.8 3.5 ------- ------- ------- ------- ------- ------- Adjusted Net Invest Income 2263.5 2693.0 2815.6 2754.9 1388.7 1350.3 ======= ======= ======= ======= ======= ======= Mean Invested Assets (Cost Basis) 30337.3 36573.8 39027.5 37471.3 37771.8 37166.3 Ratio of Adjusted Net Invest Inc Over Mean Invested Assets 7.46% 7.36% 7.21% 7.35% 7.35% 7.27% Investment Gains Realized Gains (Losses) on Investments 72.9 13.7 3.8 (17.5) (7.1) (24.8) Gains(Losses) on Derivatives 0.0 0.0 0.0 0.0 0.0 0.1 Incr (Decr) in Unreal Gains on Sec Avail-for-Sale (after DAC/Tax) 159.6 116.4 (1018.1) 477.7 (568.6) 659.7 Incr (Decr) in Foreign Exchange (20.3) 3.8 (19.9) (8.1) (8.2) (37.3) Securities Available-for-Sale [Billions of Dollars at End of Year] Fixed Maturity Sec (Market) 24.066 30.233 27.689 27.450 27.078 27.874 Fixed Maturity Sec (Adjusted Cost) 22.624 28.640 28.357 27.373 27.788 27.681 Equity Securities (Market) 0.660 0.543 0.604 0.550 0.560 0.534 Equity Securities (Adjusted Cost) 0.518 0.437 0.482 0.458 0.446 0.477 % of Fixed Maturity Securities (Based on Market) Treasuries and AAA 27.6% 25.6% 22.8% 22.1% 22.1% 19.3% AA or better 35.1% 32.6% 29.8% 29.2% 29.2% 26.0% BB or less 7.3% 7.0% 8.0% 6.7% 8.2% 7.8% Mar Jun Sep Dec Mar Jun For the Quarter Ended 2000 2000 2000 2000 2001 2001 ----------------------------------------------------------------------------------------------- Net Investment Income Fixed Maturity Securities 541.3 544.4 525.3 537.7 522.7 530.6 Equity Securities 3.7 5.7 3.6 6.5 1.0 7.8 Mortgage loans on real estate 92.0 95.1 94.4 92.3 95.7 92.4 Real estate 11.2 12.5 11.8 16.3 12.8 13.1 Policy loans 30.7 30.9 30.5 32.9 31.4 31.4 Invested cash 27.2 15.1 26.5 18.4 26.7 16.2 Other investments 35.1 2.0 26.9 2.9 19.6 18.2 ------- ------- ------- ------- ------- ------- Investment revenue 741.1 705.7 719.1 706.9 709.9 709.7 Investment expense 30.0 31.8 29.0 34.8 36.1 36.6 ------- ------- ------- ------- ------- ------- Net Investment Income 711.1 673.8 690.0 672.1 673.7 673.1 ------- ------- ------- ------- ------- ------- Gross-up of Tax Exempt Income 1.5 2.3 1.4 2.6 0.5 3.0 ------- ------- ------- ------- ------- ------- Adjusted Net Invest Income 712.6 676.1 691.5 674.7 674.2 676.1 ======= ======= ======= ======= ======= ======= Mean Invested Assets (Cost Basis) 38237.4 37306.1 37250.8 37090.8 37238.0 37094.5 Ratio of Adjusted Net Invest Inc Over Mean Invested Assets 7.45% 7.25% 7.43% 7.28% 7.24% 7.29% Investment Gains Realized Gains (Losses) on Investments (0.4) (6.7) (11.6) 1.2 (13.4) (11.5) Gains (Losses) on Derivatives 0.0 0.0 0.0 0.0 (0.1) 0.2 Incr (Decr) in Unreal Gains on Sec Avail-for-Sale (after DAC/Tax) 54.5 (145.4) 218.8 349.8 178.3 (137.5) Incr (Decr) on Derivatives 23.3 27.0 Incr (Decr) in Foreign Exchange (7.3) (0.9) (2.0) 2.0 (17.8) (19.5) Securities Available-for-Sale [Billions of Dollars at End of Year] Fixed Maturity Sec (Market) 27.745 27.078 27.264 27.450 27.811 27.874 Fixed Maturity Sec (Adjusted Cost) 28.295 27.788 27.727 27.373 27.367 27.681 Equity Securities (Market) 0.588 0.560 0.570 0.550 0.560 0.534 Equity Securities (Adjusted Cost) 0.475 0.446 0.450 0.458 0.507 0.477 % of Fixed Maturity Securities (Based on Market) Treasuries and AAA 22.7% 22.1% 22.3% 22.1% 20.3% 19.3% AA or better 29.5% 29.2% 29.4% 29.2% 27.1% 26.0% BB or less 7.4% 8.2% 6.8% 6.7% 7.2% 7.8% Common Stock / Debt Information Unaudited [Dollars per Share, except Percentages] For the Year Ended December 31 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 ---------------------------------------------------------------------------------------------------------------------------------- Common Stock [1] Highest Price 15.338 13.813 19.032 24.125 22.188 26.875 28.500 39.063 49.438 57.500 56.375 Lowest Price 7.688 9.500 12.625 17.344 17.313 17.313 20.375 24.500 33.500 36.000 22.625 Closing Price 10.750 13.688 18.500 21.750 17.500 26.875 26.250 39.063 40.907 40.000 47.313 Dividend Payout Ratio [2] 63.4% 63.5% 38.9% 52.6% 51.0% 39.7% 38.2% 22.8% 43.9% 50.5% 38.3% Yield [3] 6.3% 5.3% 4.1% 3.8% 4.9% 3.4% 3.7% 2.7% 2.7% 2.9% 2.6% Preferred Stock Dividend (Millions) 9.143 13.033 17.246 17.212 17.119 8.644 0.112 0.106 0.100 0.089 0.078 Debt: (End of Period) Senior Debt Ratings A.M. Best a Fitch AA AA- AA- AA- AA- AA- A+ A+ A+ Moody's A2 A2 A1 A2 A2 A2 A2 A2 A3 Standard and Poors A+ A+ A+ A A A A- A- A- Claims Paying Ratings: Lincoln Life - A.M. Best A+ A+ A+ A+ A+ A+ A A A Lincoln Life - Fitch AAA AAA AAA AA+ AA+ AA+ AA+ AA+ AA Lincoln Life - Moody's A1 A1 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Lincoln Life - Standard & Poors AA- AA- AA- AA- AA- AA- AA- AA- AA- First Penn - A.M. Best* A A+ A+ A+ A+ A+ A A A First Penn - Moody's A1 A1 A1 A1 First Penn - Standard & Poors* AA- AA- AA- AA- AA- AA- AA- AA- AA- LLA of New York - A.M. Best* A+ A+ A A A LLA of New York - Fitch* AA+ AA+ AA+ AA LLA of New York - Moody's A1 A1 A1 A1 A1 LLA of New York - Standard & Poors* AA- AA- AA- AA- AA- Ratios Debt to Total Capitalization [4] 25.7% 21.1% 19.9% 22.8% 18.8% 17.0% 21.2% 23.2% 20.8% Debt to Equity [4] 34.7% 26.7% 24.9% 29.5% 23.1% 20.5% 26.9% 30.3% 26.3% Sep Dec Mar Jun Sep Dec Mar Jun Sep Dec Mar Jun For the Quarter Ended 1998 1998 1999 1999 1999 1999 2000 2000 2000 2000 2001 2001 --------------------------------------------------------------------------------------------------------------------------------- Common Stock: Highest Price 49.438 43.344 50.250 53.438 57.500 48.313 41.375 40.063 56.375 50.938 48.250 52.300 Lowest Price 41.125 33.500 39.281 45.688 36.000 36.500 22.625 29.000 35.625 40.875 38.000 41.280 Closing Price 41.125 40.906 49.438 52.313 37.563 40.000 33.500 36.125 48.125 47.313 42.470 51.750 Yield [3] 2.5% 2.7% 2.2% 2.1% 2.9% 2.9% 3.5% 3.2% 2.4% 2.6% 2.9% 2.4% Preferred Stock Dividend 0.026 0.023 0.024 0.024 0.027 0.014 0.022 0.022 0.021 0.013 0.019 0.017 (Millions) Debt: (End of Period) Senior Debt Ratings A.M. Best a a a a Fitch A+ A+ A+ A+ A+ A+ A+ A+ A+ A+ A+ A+ Moody's A2 A2 A2 A2 A2 A2 A2 A2 A2 A3 A3 A3 Standard and Poors A- A- A- A- A- A- A- A- A- A- A- A- Claims Paying Ratings: Lincoln Life - A.M. Best A+ A A A A A A A A A A A Lincoln Life - Fitch AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA AA AA Lincoln Life - Moody's Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Aa3 Lincoln Life - Standard & Poors AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- First Penn - A.M. Best* A+ A A A A A A A A A A A First Penn - Moody's A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 First Penn - Standard & Poors* AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- LLA of New York - A.M. Best* A+ A A A A A A A A A A A LLA of New York - Fitch* AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA+ AA AA AA LLA of New York - Moody's A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 A1 LLA of New York - Standard & Poors* AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- AA- Ratios Debt to Total Capitalization [4] 21.9% 21.2% 20.7% 22.0% 22.0% 23.2% 23.3% 21.8% 21.2% 20.8% 22.2% 21.2% Debt to Equity [4] 28.1% 26.9% 26.2% 28.2% 28.3% 30.3% 30.4% 28.0% 27.0% 26.3% 28.5% 27.0% * Rating based on affiliation with Lincoln Life [1] Stock prices shown above include 2-for-1 splits in June 1993, and June 1999 [2] Indicated dividend divided by net income [3] Indicated dividend divided by the closing price [4] Equity used in calculation assumes securities at cost. Minority interest-preferred securities of subsidiary companies (hybrid securities) are considered 50% debt and 50% equity. Return on Equity/Return on Capital: In order to accommodate the various perspectives, LNC presents three separate Return on Equity numbers on pages 2 and 3 of this Statistical Report. "Net Income Divided by Average Shareholders' Equity" tends to fluctuate from period to period due to the realization of gains on the sale of investments or subsidiaries during one period and the planned generation of losses in another period for purposes of recovering Federal Taxes previously paid. "Income from Operations Divided by Average Shareholders' Equity" is less volatile but leaves out an important element of earnings for a company that has a long-term goal of enhancing shareholder value by realizing investment gains. "Adjusted Income from Operations Divided by Adjusted Shareholders' Equity" amortizes: 1) realized security gains on investments 2) unrealized gains on equity securities over approximately five years and eliminates amortization of goodwill related to acquisitions. Return on capital measures the effectiveness of LNC's use of its total capital, which is made up of equity, debt and hybrid securities. Return on capital is calculated by dividing income from operations (after adding back after-tax interest expense) by average capital. The difference between return on capital and return on equity presents the effect of leveraging on LNC's consolidated results.