Veritable’s Lincoln National LNC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q4
Sell
-6,521
Closed -$286K 877
2022
Q3
$286K Buy
6,521
+59
+0.9% +$2.59K 0.01% 645
2022
Q2
$302K Sell
6,462
-34
-0.5% -$1.59K 0.01% 674
2022
Q1
$425K Buy
6,496
+108
+2% +$7.07K 0.01% 604
2021
Q4
$436K Sell
6,388
-60
-0.9% -$4.1K 0.01% 597
2021
Q3
$443K Buy
6,448
+20
+0.3% +$1.37K 0.01% 573
2021
Q2
$404K Buy
6,428
+22
+0.3% +$1.38K 0.01% 592
2021
Q1
$399K Hold
6,406
0.01% 564
2020
Q4
$322K Sell
6,406
-3,042
-32% -$153K 0.01% 605
2020
Q3
$296K Sell
9,448
-2,621
-22% -$82.1K 0.01% 586
2020
Q2
$444K Buy
+12,069
New +$444K 0.01% 493
2020
Q1
Sell
-7,574
Closed -$447K 782
2019
Q4
$447K Buy
7,574
+226
+3% +$13.3K 0.01% 555
2019
Q3
$443K Sell
7,348
-33
-0.4% -$1.99K 0.01% 540
2019
Q2
$476K Buy
7,381
+93
+1% +$6K 0.01% 510
2019
Q1
$428K Buy
7,288
+149
+2% +$8.75K 0.01% 541
2018
Q4
$366K Sell
7,139
-60
-0.8% -$3.08K 0.01% 540
2018
Q3
$487K Sell
7,199
-21
-0.3% -$1.42K 0.01% 501
2018
Q2
$449K Sell
7,220
-104
-1% -$6.47K 0.01% 516
2018
Q1
$535K Sell
7,324
-2
-0% -$146 0.01% 471
2017
Q4
$563K Sell
7,326
-1,584
-18% -$122K 0.01% 480
2017
Q3
$655K Sell
8,910
-741
-8% -$54.5K 0.01% 440
2017
Q2
$652K Sell
9,651
-593
-6% -$40.1K 0.01% 448
2017
Q1
$670K Buy
10,244
+710
+7% +$46.4K 0.02% 418
2016
Q4
$632K Buy
9,534
+556
+6% +$36.9K 0.02% 411
2016
Q3
$422K Buy
8,978
+214
+2% +$10.1K 0.01% 503
2016
Q2
$340K Sell
8,764
-32
-0.4% -$1.24K 0.01% 533
2016
Q1
$345K Sell
8,796
-556
-6% -$21.8K 0.01% 528
2015
Q4
$470K Sell
9,352
-136
-1% -$6.84K 0.01% 474
2015
Q3
$450K Buy
9,488
+23
+0.2% +$1.09K 0.01% 472
2015
Q2
$561K Sell
9,465
-7,206
-43% -$427K 0.02% 430
2015
Q1
$958K Buy
16,671
+193
+1% +$11.1K 0.02% 421
2014
Q4
$950K Buy
16,478
+121
+0.7% +$6.98K 0.02% 417
2014
Q3
$876K Buy
16,357
+1,629
+11% +$87.2K 0.02% 437
2014
Q2
$758K Sell
14,728
-360
-2% -$18.5K 0.02% 476
2014
Q1
$765K Buy
15,088
+72
+0.5% +$3.65K 0.02% 457
2013
Q4
$775K Buy
15,016
+5,499
+58% +$284K 0.02% 443
2013
Q3
$400K Buy
9,517
+378
+4% +$15.9K 0.01% 637
2013
Q2
$333K Buy
+9,139
New +$333K 0.01% 689