Jackson Financial Inc.

NYSE:JXN

91.97 (USD) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q1
Assets:
Current Assets:
Cash & Cash Equivalents 1,7392,5442,6912,7602,1001,7794,2985,3315,2582,6742,6232,481.81,534.61,572.62,018.70
Short Term Investments 2,6722,8542,98139,07842,06343,77442,48941,68143,47846,77051,54752,12352,472.654,615.659,0750
Cash and Short Term Investments 42,08842,63243,11041,83844,16345,55346,78747,01248,73649,44454,17054,604.854,007.256,188.261,093.70
Net Receivables 23,82024,68425,57126,37927,26328,31629,64130,79631,66732,40233,12633,752.534,246.734,731.735,269.50
Inventory -65,908-67,316-68,681-31,715-4,590-32,749-7,280-7,178-81,902-4,116-4,057-4,081.6-3,105.3-3,285.500
Other Current Assets 4,9295,8866,1845,3364,5904,4337,2807,1786,7574,1164,0574,081.63,105.33,285.500
Total Current Assets 4,9295,8866,18441,83871,42645,55376,42877,8085,25881,84687,29688,357.388,253.990,919.996,363.20
Non-Current Assets:
Property, Plant & Equipment, Net 274,387-12,17324-12,447-12,599-12,76026-12,797-981-14,03731-14,016.8-13,813.341,813.3370
Goodwill 00262,0860000000000000
Intangible Assets 12,06612,17312,30212,44712,59912,76013,42212,79713,11514,03714,24914,016.813,813.313,392.413,8970
Goodwill and Intangible Assets 12,06612,173274,38812,44712,59912,76013,42212,79713,11514,03714,24914,016.813,813.313,392.413,8970
Long Term Investments 1151272,63041,66544,64146,35545,15544,14145,84648,93253,65454,047.654,260.156,281.860,650.50
Tax Assets 7687493,6856326817553,8407599811,3434,3231,004.6892.51,076.146,716.50
Other Non-Current Assets 21,812308,96020,967-41,665-681-46,355-17,288-759251,005-15,380-18,603-15,021.4-14,705.8-14,468.5-13,9340
Total Non-Current Assets 309,148309,836301,69463244,64175545,15544,141310,94748,93253,65454,047.654,260.156,281.860,650.50
Total Assets 314,077315,722307,878314,534326,980321,464311,058302,970316,205352,641375,484364,372.5366,657.4355,242.3353,455.50
Liabilities & Equity:
Current Liabilities:
Account Payables 18,46519,24419,95219,97321,17022,25422,95723,90025,50627,19929,00729,771.430,321.8000
Short Term Debt 39809600599598913,6010091,601.70000
Tax Payables 0000000000000000
Deferred Revenue -18,4650-19,95213,71612,29113,44238575900954-28,169.70000
Other Current Liabilities -10,416-30,305-12,725-14,316-12,890-14,040-9-13,601-40,4670-9-1,601.70-18,169.400
Total Current Liabilities -10,018-11,061-12,71619,97321,17022,25423,34224,659-14,96127,19929,9611,601.730,321.8-18,169.41190
Non-Current Liabilities:
Long Term Debt 1,6362,0332,0374,6464,6294,6484,3674,3792,6342,6402,6491,068.5317.7317.73220
Deferred Revenue Non-Current 0074,495000-3,455000361,04100000
Deferred Tax Liabilities Non-Current 003,0450003,4550003,36900000
Other Non-Current Liabilities 312,175314,394230,683279,662-4,629285,095274,194264,2290-2,640358,392533.2325,028.3-317.7-3220
Total Non-Current Liabilities 313,811316,427310,260284,3084,629289,743278,561268,6082,634342,352364,4101,601.7325,346344,673.8343,533.30
Total Liabilities 303,793305,366297,544304,2814,629311,997301,903293,2672,634342,352364,410353,516.4355,667.8344,673.8343,533.30
Equity:
Preferred Stock 5335335335335335330000000000
Common Stock 111111111110.90.9010
Retained Earnings 7,9657,7667,0388,6615,9524,8528,2839,0657,6354,7822,8092,274.52,068.32,608.3-323.20
Accumulated Other Comprehensive Income/Loss -3,626-3,423-2,808-5,187-3,365-2,308-5,481-5,718-3,722-9391,7442,055.32,398.71,452.13,828.36,772.7
Other Total Stockholders Equity 5,2115,2925,4065,4705,5315,5605,6205,6265,6495,7305,8405,927.55,922.65,923.55,922.5484.1
Total Shareholders Equity 10,08410,16910,1709,4788,6528,6388,4238,9749,5639,57410,39410,258.210,390.59,983.99,428.67,256.8
Total Equity 10,28410,35610,33410,2539,4239,4679,1559,70310,31010,28911,07410,856.110,989.610,568.59,922.27,256.8
Total Liabilities & Shareholders Equity 314,077315,722307,878314,534326,980321,464311,058302,970316,205352,641375,484364,372.5366,657.4355,242.3353,455.57,256.8