Jackson Financial Inc.JXN

Market cap
$6.8B
P/E ratio
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income (loss)3,4455,740954976
Net realized losses (gains) on investments182-359-554-11
Net losses (gains) on derivatives-2,6392,024-5,310-6,801
Net losses (gains) on funds withheld reinsurance treaties-212,186-1,801-1,052
Net (gain) loss on market risk benefits--3,8973,809
(Gain) loss from updating future policy benefits cash flow assumptions, net---102-46
Interest Credited to Policy Owner Account8688621,1451,110
Mortality, expense and surrender charges553530528545
Amortization of discount and premium on investments-49-112733
Deferred income tax expense (benefit)6751,413-207294
Share-based compensation expense129131107191
Accrued investment income-5511-217
Deferred acquisition costs269-1,119-622-415
Funds withheld, net of reinsurance75740220-211
Future policy benefits--731777
Other assets and liabilities, net377-724-123133
Net cash provided by (used in) operating activities5,7435,2065,3105,793
Debt securities19,56811,53511,48810,524
Equity securities5084316289
Mortgage loans1,7471,6952,4921,783
Debt securities14,73311,6068,23111,718
Equity securities11124920016
Mortgage loans2,4271,8161,6051,132
Settlements related to derivatives and collateral on investments4,8366745,4756,481
Other investing activities554343-623339
Net cash provided by (used in) investing activities-1,296-1,374-592-7,090
Deposits20,14918,45614,18920,122
Withdrawals28,78825,17329,11239,372
Net transfers to separate accounts2,6645,68510,01719,892
Proceeds from (payments on) repurchase agreements and securities lending476--1,532
Net proceeds from (payments on) Federal Home Loan Bank notes380--250-450
Payments on debt--6035
Debt issuance costs287--
Proceeds from Issuance of Long-Term Debt--297948
Repayments of debt of consolidated investment entities--351526
Proceeds from Contributions from Affiliates--11129
Distributions from partners of consolidated investments--92-
Dividends on common stock50186201211
Dividends on preferred stock--3544
Purchase of treasury stock211321306442
Issuance of preferred stock--533-
Net cash provided by (used in) financing activities-3,835-2,162-6,3282,373
Net increase (decrease) in cash, cash equivalents, and restricted cash6121,670-1,6101,076
Income Taxes Paid, Net-403-5-21-8
Interest paid30107183263
Debt Securities Acquired From Noncash Transactions37050614450
Other invested assets acquired from stock splits and stock distributions99112317-