N-6 |
Jul. 11, 2025 |
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Prospectus: | |||||||
Document Type | N-6 | ||||||
Entity Registrant Name | LINCOLN LIFE FLEXIBLE PREMIUM VARIABLE LIFE ACCOUNT S | ||||||
Entity Central Index Key | 0001080299 | ||||||
Entity Investment Company Type | N-6 | ||||||
Document Period End Date | Jul. 11, 2025 | ||||||
Amendment Flag | false | ||||||
Item 2. Key Information [Line Items] | |||||||
Item 18. Portfolio Companies (N-6) [Text Block] | At a meeting of the Board of Trustees (the “Board”) of Lincoln Variable Insurance Products Trust (the “Trust”) on June 3-4, 2025, the Board approved the appointment of Franklin Advisers, Inc. as the new sub-adviser to the LVIP Macquarie Bond Fund (the “Fund”), effective on or about August 8, 2025 (“Effective Date”). The Fund’s name will be changed as of the Effective Date, as noted below, and all references to the Fund’s name will be revised accordingly. The Fund’s investment objective, fee and average total returns will remain the same. All other information about the fund, including the principal investment strategies, can be found in the fund’s prospectus.
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LVIP Franklin Templeton Core Bond Fund [Member] | |||||||
Item 2. Key Information [Line Items] | |||||||
Portfolio Company Name [Text Block] | LVIP Franklin Templeton Core Bond Fund |