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Jackson Financial Inc

JXN

87.030USD

-0.800-0.91%
Close 07/11, 16:00ETQuotes delayed by 15 min
6.26BMarket Cap
75.37P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
11.78%1.59B
-6.67%1.52B
20.81%1.36B
36.10%1.48B
-2.40%1.43B
-27.86%1.63B
27.00%1.13B
-10.91%1.09B
75.39%1.46B
5.50%2.27B
-35.93%889.00M
51.73%1.22B
-38.02%833.00M
69.78%2.15B
32.68%1.39B
159.83%803.40M
23.03%1.34B
--1.26B
--1.05B
--309.20M
--1.09B
Net income from continuing operations
-102.24%-18.00M
122.95%358.00M
-116.70%-466.00M
-76.89%282.00M
153.61%802.00M
-117.27%-1.56B
49.36%2.79B
-62.96%1.22B
-167.24%-1.50B
-208.62%-718.00M
596.75%1.87B
780.72%3.29B
-25.83%2.23B
500.91%661.00M
171.51%268.10M
84.70%-483.90M
67.50%3.00B
--110.00M
---374.90M
---3.16B
--1.79B
Deferred tax
115.38%2.00M
119.13%35.00M
4.71%289.00M
-106.72%-17.00M
97.65%-13.00M
13.68%-183.00M
-57.34%276.00M
-70.24%253.00M
-234.55%-553.00M
-261.83%-212.00M
3597.30%647.00M
1231.82%850.00M
-35.54%411.00M
140.75%131.00M
-213.56%-18.50M
89.05%-75.10M
168.92%637.60M
---321.50M
---5.90M
---685.70M
--237.10M
Other non-cash items
44.49%669.00M
-85.88%169.00M
787.39%763.00M
2.56%400.00M
-48.27%463.00M
221.77%1.20B
76.48%-111.00M
147.10%390.00M
199.11%895.00M
1194.12%372.00M
-10.07%-472.00M
-196.19%-828.00M
-12.31%-903.00M
-102.53%-34.00M
-188.67%-428.80M
182.11%860.80M
-336.89%-804.00M
--1.34B
--483.60M
---1.05B
--339.40M
Change in working capital
180.71%2.23B
-219.92%-1.75B
136.93%811.00M
80.13%-577.00M
-1946.67%-2.76B
555.86%1.46B
-59.48%-2.20B
-444.48%-2.90B
94.68%-135.00M
208.33%222.00M
-666.20%-1.38B
167.35%843.00M
-896.55%-2.54B
104.78%72.00M
120.55%243.20M
-199.16%-1.25B
-72.73%318.50M
---1.51B
---1.18B
---418.40M
--1.17B
-Change in other current assets
-125.00%-6.00M
85.71%-1.00M
-141.67%-10.00M
6.25%-30.00M
41.18%24.00M
-40.00%-7.00M
700.00%24.00M
-60.00%-32.00M
-5.56%17.00M
-162.50%-5.00M
-148.78%-4.00M
-366.67%-20.00M
-42.49%18.00M
-79.59%8.00M
139.05%8.20M
78.57%7.50M
130.15%31.30M
--39.20M
---21.00M
--4.20M
--13.60M
Cash from non-recurring investing activities
Cash from operating activities
11.78%1.59B
-6.67%1.52B
20.81%1.36B
36.10%1.48B
-2.40%1.43B
-27.86%1.63B
27.00%1.13B
-10.91%1.09B
75.39%1.46B
5.50%2.27B
-35.93%889.00M
51.73%1.22B
-38.02%833.00M
69.78%2.15B
32.68%1.39B
159.83%803.40M
23.03%1.34B
--1.26B
--1.05B
--309.20M
--1.09B
Investing cash flow
Net cash flow from investment products
-533.54%-1.42B
-77.55%220.00M
-124.08%-431.00M
-124.07%-387.00M
377.97%328.00M
753.33%980.00M
356.45%1.79B
658.33%1.61B
-115.15%-118.00M
-137.97%-150.00M
-212.86%-698.00M
-109.49%-288.00M
-12.18%779.00M
-88.82%395.00M
93.41%-223.10M
-24.65%3.04B
125.17%887.00M
--3.53B
---3.38B
--4.03B
---3.52B
Net cash flow from other investing activities
-273.97%-273.00M
-115.32%-51.00M
240.00%105.00M
-485.54%-320.00M
-125.89%-73.00M
270.00%333.00M
-676.92%-75.00M
120.00%83.00M
1009.68%282.00M
112.82%90.00M
-97.60%13.00M
-315.83%-415.00M
89.48%-31.00M
-261.67%-702.00M
128.51%542.40M
-104.12%-99.80M
-2853.27%-294.60M
---194.10M
---1.90B
--2.42B
--10.70M
Cash from non-current investing activities
Net cash flow from investing activities
52.49%-953.00M
-3077.42%-2.77B
-118.92%-401.00M
-2553.85%-1.91B
30.40%-2.01B
102.42%93.00M
1551.37%2.12B
-97.23%78.00M
-1326.73%-2.88B
-100.16%-3.84B
-431.82%-146.00M
35.46%2.82B
86.53%-202.00M
-204.67%-1.92B
100.49%44.00M
226.96%2.08B
-121.81%-1.50B
---630.20M
---8.94B
---1.64B
--6.87B
Financing cash flow
Cash flow from continuous financing activities
-220.32%-521.00M
208.27%1.95B
113.88%359.00M
56.18%-369.00M
139.40%433.00M
-434.76%-1.80B
-287.13%-2.59B
41.93%-842.00M
-88.83%-1.10B
789.74%538.00M
-37.87%-668.00M
50.36%-1.45B
-100.34%-582.00M
-22.26%-78.00M
-191.33%-484.50M
-103.98%-2.92B
-117.39%-290.50M
---63.80M
--530.50M
---1.43B
--1.67B
Net cash flow from debt Issuance/repayment
-165.30%-1.03B
365.57%1.45B
21.43%-1.16B
1.95%522.00M
2097.22%1.58B
-155.66%-546.00M
-20900.00%-1.47B
146.59%512.00M
114.46%72.00M
-19.85%981.00M
-104.69%-7.00M
-22328.57%-1.10B
-148.46%-498.00M
-17.55%1.22B
632.86%149.20M
---4.90M
405.32%1.03B
--1.48B
---28.00M
--0.00
---336.60M
Net cash flow from common stock issuance/repurchase
-68.33%-202.00M
-41.43%-99.00M
-58.33%-114.00M
-15.96%-109.00M
-71.43%-120.00M
-66.67%-70.00M
-84.62%-72.00M
6.00%-94.00M
50.00%-70.00M
80.09%-42.00M
---39.00M
---100.00M
---140.00M
---211.00M
-100.00%0.00
----
----
--0.00
--500.00M
----
----
Cash dividend payments
6.15%69.00M
3.33%62.00M
3.23%64.00M
1.59%64.00M
27.45%65.00M
71.43%60.00M
26.53%62.00M
26.00%63.00M
-1.92%51.00M
-30.00%35.00M
--49.00M
--50.00M
--52.00M
--50.00M
--0.00
----
----
----
----
----
----
Net cash flow from other financing activities
25.63%5.21B
77.64%5.58B
114.23%5.57B
116.52%4.60B
101.12%4.14B
67.91%3.14B
107.34%2.60B
31.99%2.13B
116.61%2.06B
213.76%1.87B
42.23%1.25B
303.00%1.61B
20.11%951.00M
88.73%596.00M
93.91%881.70M
426.92%399.50M
-58.60%791.80M
--315.80M
--454.70M
---122.20M
--1.91B
Net cash from non-recurrent financing activities
Net cash from financing activities
-220.32%-521.00M
208.27%1.95B
113.88%359.00M
56.18%-369.00M
139.40%433.00M
-434.76%-1.80B
-287.13%-2.59B
41.93%-842.00M
-88.83%-1.10B
789.74%538.00M
-37.87%-668.00M
50.36%-1.45B
-100.34%-582.00M
-22.26%-78.00M
-191.33%-484.50M
-103.98%-2.92B
-117.39%-290.50M
---63.80M
--530.50M
---1.43B
--1.67B
Net cash flow
Beginning cash balance
39.99%3.77B
10.71%3.06B
-17.31%1.74B
42.84%2.54B
-37.43%2.69B
-48.23%2.77B
-60.06%2.10B
-33.54%1.78B
63.47%4.30B
115.19%5.34B
243.08%5.27B
70.42%2.68B
30.33%2.63B
71.36%2.48B
-82.58%1.53B
-86.41%1.57B
4.35%2.02B
--1.45B
--8.81B
--11.57B
--1.93B
Current period cash flow changes
181.63%120.00M
1054.05%706.00M
99.70%1.32B
-350.00%-805.00M
94.17%-147.00M
92.88%-74.00M
782.67%662.00M
-87.55%322.00M
-5242.86%-2.52B
-797.99%-1.04B
-92.08%75.00M
6905.26%2.59B
110.98%49.00M
-73.89%149.00M
112.86%947.10M
98.62%-38.00M
-104.63%-446.10M
--570.60M
---7.36B
---2.76B
--9.64B
Ending cash balance
52.79%3.89B
39.99%3.77B
10.71%3.06B
-17.31%1.74B
42.84%2.54B
-37.43%2.69B
-48.23%2.77B
-60.06%2.10B
-33.54%1.78B
63.47%4.30B
115.19%5.34B
243.15%5.27B
70.42%2.68B
30.31%2.63B
71.42%2.48B
-82.58%1.53B
-86.41%1.57B
--2.02B
--1.45B
--8.81B
--11.57B
Free cash flow
11.78%1.59B
-6.67%1.52B
20.81%1.36B
36.10%1.48B
-2.40%1.43B
-27.86%1.63B
27.00%1.13B
-10.91%1.09B
75.39%1.46B
5.50%2.27B
-35.93%889.00M
51.73%1.22B
-38.02%833.00M
69.78%2.15B
32.68%1.39B
159.83%803.40M
23.03%1.34B
--1.26B
--1.05B
--309.20M
--1.09B
Currency unit
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