Jackson Financial Inc.JXN
| Dec 31, 2023 |
---|
Debt Securities, Available-for-Sale, Excluding Accrued Interest | 40,422 |
---|
Debt Securities, Fair Value Option | 2,153 |
---|
Debt Securities, Trading | 68 |
---|
Equity Securities, FV-NI | 394 |
---|
Financing Receivable, Excluding Accrued Interest, after Allowance for Credit Loss | 10,082 |
---|
Mortgage loans, at fair value under fair value option | 481 |
---|
Loans, Gross, Insurance Policy | 4,399 |
---|
Derivative Asset | 390 |
---|
Other Investments | 2,466 |
---|
Total investments | 60,855 |
---|
Cash and cash equivalents | 2,688 |
---|
Accrued investment income | 512 |
---|
Deferred acquisition costs | 12,302 |
---|
Reinsurance Recoverables, Including Reinsurance Premium Paid | 25,422 |
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Deferred income taxes, net | 640 |
---|
Market Risk Benefit, Reinsurance Recoverable, after Allowance | 149 |
---|
Other assets | 1,294 |
---|
Market Risk Benefit, Asset, Amount | 6,737 |
---|
Separate Account Asset | 219,656 |
---|
Deferred income taxes, net | 640 |
---|
Total assets | 330,255 |
---|
Other assets | 1,294 |
---|
Separate Account Asset | 219,656 |
---|
Total assets | 330,255 |
---|
Debt Securities, Available-for-Sale, Excluding Accrued Interest | 40,422 |
---|
Debt Securities, Fair Value Option | 2,153 |
---|
Debt Securities, Trading | 68 |
---|
Equity Securities, FV-NI | 394 |
---|
Financing Receivable, Excluding Accrued Interest, after Allowance for Credit Loss | 10,082 |
---|
Mortgage loans, at fair value under fair value option | 481 |
---|
Loans, Gross, Insurance Policy | 4,399 |
---|
Derivative Asset | 390 |
---|
Other Investments | 2,466 |
---|
Total investments | 60,855 |
---|
Cash and cash equivalents | 2,688 |
---|
Accrued investment income | 512 |
---|
Deferred acquisition costs | 12,302 |
---|
Reinsurance Recoverables, Including Reinsurance Premium Paid | 25,422 |
---|
Deferred income taxes, net | 640 |
---|
Market Risk Benefit, Reinsurance Recoverable, after Allowance | 149 |
---|
Other assets | 1,294 |
---|
Market Risk Benefit, Asset, Amount | 6,737 |
---|
Separate Account Asset | 219,656 |
---|
Deferred income taxes, net | 640 |
---|
Total assets | 330,255 |
---|
Other assets | 1,294 |
---|
Separate Account Asset | 219,656 |
---|
Total assets | 330,255 |
---|
Reserves for future policy benefits and claims payable | 11,898 |
---|
Other Policyholder Funds | 55,319 |
---|
Funds withheld payable under reinsurance treaties | 19,952 |
---|
Market Risk Benefit, Liability, Amount | 4,785 |
---|
Long-term debt | 2,037 |
---|
Funds withheld payable under reinsurance treaties | 19,952 |
---|
Repurchase agreements and securities lending payable | 19 |
---|
Long-term debt | 2,037 |
---|
Collateral payable for derivative instruments | 780 |
---|
Repurchase agreements and securities lending payable | 19 |
---|
Freestanding derivative instruments | 1,210 |
---|
Collateral payable for derivative instruments | 780 |
---|
Freestanding derivative instruments | 1,210 |
---|
Related Party | 1,988 |
---|
Nonrelated Party | 2,277 |
---|
Separate account liabilities | 219,656 |
---|
Total liabilities | 319,921 |
---|
Common Stock, Value, Issued | 1 |
---|
Preferred Stock, Value, Issued | 533 |
---|
Additional paid-in capital | 6,005 |
---|
Common Stock, Value, Issued | 1 |
---|
Treasury stock, at cost; 15,820,785 and 11,784,813 shares at December 31, 2023 and 2022, respectively | 599 |
---|
Additional paid-in capital | 6,005 |
---|
Accumulated Other Comprehensive Income (Loss), Net of Tax | -2,808 |
---|
Treasury stock, at cost; 15,820,785 and 11,784,813 shares at December 31, 2023 and 2022, respectively | 599 |
---|
Retained earnings | 7,038 |
---|
Accumulated Other Comprehensive Income (Loss), Net of Tax | -2,808 |
---|
Total shareholders' equity | 10,334 |
---|
Retained earnings | 7,038 |
---|
Noncontrolling interests | 164 |
---|
Total shareholders' equity | 10,334 |
---|
Total equity | 10,334 |
---|
Noncontrolling interests | 164 |
---|
Total equity | 10,334 |
---|
Total liabilities and equity | 330,255 |
---|
Reserves for future policy benefits and claims payable | 11,898 |
---|
Other Policyholder Funds | 55,319 |
---|
Funds withheld payable under reinsurance treaties | 19,952 |
---|
Market Risk Benefit, Liability, Amount | 4,785 |
---|
Long-term debt | 2,037 |
---|
Funds withheld payable under reinsurance treaties | 19,952 |
---|
Repurchase agreements and securities lending payable | 19 |
---|
Long-term debt | 2,037 |
---|
Collateral payable for derivative instruments | 780 |
---|
Repurchase agreements and securities lending payable | 19 |
---|
Freestanding derivative instruments | 1,210 |
---|
Collateral payable for derivative instruments | 780 |
---|
Freestanding derivative instruments | 1,210 |
---|
Related Party | 1,988 |
---|
Nonrelated Party | 2,277 |
---|
Separate account liabilities | 219,656 |
---|
Total liabilities | 319,921 |
---|
Common Stock, Value, Issued | 1 |
---|
Preferred Stock, Value, Issued | 533 |
---|
Additional paid-in capital | 6,005 |
---|
Common Stock, Value, Issued | 1 |
---|
Treasury stock, at cost; 15,820,785 and 11,784,813 shares at December 31, 2023 and 2022, respectively | 599 |
---|
Additional paid-in capital | 6,005 |
---|
Accumulated Other Comprehensive Income (Loss), Net of Tax | -2,808 |
---|
Treasury stock, at cost; 15,820,785 and 11,784,813 shares at December 31, 2023 and 2022, respectively | 599 |
---|
Retained earnings | 7,038 |
---|
Accumulated Other Comprehensive Income (Loss), Net of Tax | -2,808 |
---|
Total shareholders' equity | 10,334 |
---|
Retained earnings | 7,038 |
---|
Noncontrolling interests | 164 |
---|
Total shareholders' equity | 10,334 |
---|
Total equity | 10,334 |
---|
Noncontrolling interests | 164 |
---|
Total equity | 10,334 |
---|
Total liabilities and equity | 330,255 |
---|