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    <isConfidential>false</isConfidential>
    <filerInfo>

      <filer>
        <issuerCredentials>
          <cik>0000914036</cik>
          <ccc>XXXXXXXX</ccc>
        </issuerCredentials>
      </filer>


      <seriesClassInfo>
        <seriesId>S000038140</seriesId>
        <classId>C000117544</classId>
        <classId>C000117545</classId>
      </seriesClassInfo>


    </filerInfo>
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      <regName>LINCOLN VARIABLE INSURANCE PRODUCTS TRUST</regName>
      <regFileNumber>811-08090</regFileNumber>
      <regCik>0000914036</regCik>
      <regLei>3EICVM5HD7FVBIM8WO57</regLei>
      <regStreet1>1301 S. Harrison Street</regStreet1>
      <regCity>FORT WAYNE</regCity>
      <regStateConditional regCountry="US" regState="US-IN"/>
      <regZipOrPostalCode>46802</regZipOrPostalCode>
      <regPhone>260-455-2000</regPhone>
      <seriesName>LVIP American Preservation Fund</seriesName>
      <seriesId>S000038140</seriesId>
      <seriesLei>0DEHRY0I9O01V5JVU932</seriesLei>
      <repPdEnd>2024-12-31</repPdEnd>
      <repPdDate>2024-09-30</repPdDate>
      <isFinalFiling>N</isFinalFiling>
    </genInfo>
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      <totAssets>626805412.00</totAssets>
      <totLiabs>328169.00</totLiabs>
      <netAssets>626477243.00</netAssets>
      <assetsAttrMiscSec>0.00000000</assetsAttrMiscSec>
      <assetsInvested>0.00000000</assetsInvested>
      <amtPayOneYrBanksBorr>0.00000000</amtPayOneYrBanksBorr>
      <amtPayOneYrCtrldComp>0.00000000</amtPayOneYrCtrldComp>
      <amtPayOneYrOthAffil>0.00000000</amtPayOneYrOthAffil>
      <amtPayOneYrOther>0.00000000</amtPayOneYrOther>
      <amtPayAftOneYrBanksBorr>0.00000000</amtPayAftOneYrBanksBorr>
      <amtPayAftOneYrCtrldComp>0.00000000</amtPayAftOneYrCtrldComp>
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      <amtPayAftOneYrOther>0.00000000</amtPayAftOneYrOther>
      <delayDeliv>0.00000000</delayDeliv>
      <standByCommit>0.00000000</standByCommit>
      <liquidPref>0.00000000</liquidPref>
      <cshNotRptdInCorD>0.00000000</cshNotRptdInCorD>
      <isNonCashCollateral>N</isNonCashCollateral>
      <returnInfo>
        <monthlyTotReturns>
          <monthlyTotReturn classId="C000117544" rtn1="1.62000000" rtn2="1.17000000" rtn3="1.03000000"/>
          <monthlyTotReturn classId="C000117545" rtn1="1.60000000" rtn2="1.14000000" rtn3="1.00000000"/>
        </monthlyTotReturns>
        <monthlyReturnCats>
          <otherContracts>
            <mon1 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
            <mon2 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
            <mon3 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
            <otherCategory>
              <instrMon1 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
              <instrMon2 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
              <instrMon3 netRealizedGain="0.00000000" netUnrealizedAppr="0.00000000"/>
            </otherCategory>
          </otherContracts>
        </monthlyReturnCats>
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        <othMon2 netRealizedGain="-914382.93000000" netUnrealizedAppr="6180800.65000000"/>
        <othMon3 netRealizedGain="-773082.95000000" netUnrealizedAppr="5014997.75000000"/>
      </returnInfo>
      <mon1Flow redemption="11313038.41000000" reinvestment="0.00000000" sales="7585352.37000000"/>
      <mon2Flow redemption="15037617.17000000" reinvestment="0.00000000" sales="9609686.02000000"/>
      <mon3Flow redemption="17373899.31000000" reinvestment="0.00000000" sales="8180518.58000000"/>


    </fundInfo>
    <invstOrSecs>
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        <name>American Funds Mortgage Fund</name>
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          <isin value="US02630V8164"/>
        </identifiers>
        <balance>6935717.18000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>62560168.98000000</valUSD>
        <pctVal>9.986024181887</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetCat>EC</assetCat>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>
        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>American US Government Securities Fund</name>
        <lei>B4NSFTV70Q62C8KCLN24</lei>
        <title>American US Government Securities Fund</title>
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        <identifiers>
          <isin value="US0263008148"/>
        </identifiers>
        <balance>3054002.71000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>37503153.23000000</valUSD>
        <pctVal>5.986355234614</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetCat>EC</assetCat>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>
        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>Short Term Bond Fund of America</name>
        <lei>P0F9XIISTZ8DB31ZU527</lei>
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        <identifiers>
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        <curCd>USD</curCd>
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        <payoffProfile>Long</payoffProfile>
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        <fairValLevel>1</fairValLevel>
        <securityLending>
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          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>Intermediate Bond Fund of America</name>
        <lei>R8LBW477MUD2IBLY9S75</lei>
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          <isin value="US4588098115"/>
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        <balance>7351946.49000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>93737317.75000000</valUSD>
        <pctVal>14.96260539347</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetCat>EC</assetCat>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>
        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
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          <isLoanByFund>N</isLoanByFund>
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      </invstOrSec>
      <invstOrSec>
        <name>American Funds U.S. Government Money Market Fund</name>
        <lei>DQVF8OHSEMDLUZG4L468</lei>
        <title>American Funds U.S. Government Money Market Fund</title>
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        <balance>18623253.27000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>18623253.27000000</valUSD>
        <pctVal>2.972694296255</pctVal>
        <payoffProfile>Long</payoffProfile>
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        <invCountry>US</invCountry>
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        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
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      </invstOrSec>
      <invstOrSec>
        <name>Bond Fund of America/The</name>
        <lei>F2Q0NH642XF1RP5YCC95</lei>
        <title>Bond Fund of America/The</title>
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        <balance>5387478.37000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>62656373.38000000</valUSD>
        <pctVal>10.00138058965</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetCat>EC</assetCat>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>
        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>American Funds Corporate Bond Fund</name>
        <lei>549300O55Y3YXWYJZX16</lei>
        <title>American Funds Corporate Bond Fund</title>
        <cusip>02629H810</cusip>
        <identifiers>
          <isin value="US02629H8108"/>
        </identifiers>
        <balance>1935196.79000000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>18906872.63000000</valUSD>
        <pctVal>3.017966389243</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetCat>EC</assetCat>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>
        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
    </invstOrSecs>
    <explntrNotes>
      <explntrNote note="Monthly returns presented in Item B.5(a) have been calculated without deducting any applicable sales loads or redemption fees." noteItem="B.5.a"/>
    </explntrNotes>
    <signature>
      <ncom:dateSigned>2024-10-17</ncom:dateSigned>
      <ncom:nameOfApplicant>LINCOLN VARIABLE INSURANCE PRODUCTS TRUST</ncom:nameOfApplicant>
      <ncom:signature>James Hoffmayer</ncom:signature>
      <ncom:signerName>James Hoffmayer</ncom:signerName>
      <ncom:title>VP</ncom:title>
    </signature>
  </formData>
  <documents>XXXX</documents>
</edgarSubmission>
