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米国企業
Jackson Financial Inc.
Raw
Jackson Financial Inc.
JXN
時価総額
$67億
PER
年金・生命保険事業の米国大手。投資連動型変額年金やRILA、GMWB等の年金商品を展開。2012年以降で150億ドル超の保険準備金を買収、2024年にSQMの金融部門最高顧客サービス賞を13年連続受賞。米国・欧州中心に展開。
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概要
財務
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十億
百万
千
USD
年次
四半期
Download CSV
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Debt Securities, Available-for-Sale, Excluding Accrued Interest
51,547
42,489
40,422
40,289
Debt Securities, Fair Value Option
1,711
2,173
2,153
3,046
Debt Securities, Trading
117
100
68
-
Equity Securities, FV-NI
279
393
394
197
Financing Receivable, Excluding Accrued Interest And Fair Value Option, After Allowance For Credit Loss
-
-
-
9,462
Mortgage loans, at fair value under fair value option
-
582
481
449
Loans, Gross, Insurance Policy
4,475
4,377
4,399
4,403
Derivative Asset
1,417
1,270
390
297
Other Investments
3,199
3,595
2,466
2,864
Total investments
74,227
65,946
60,855
61,007
Cash and cash equivalents
2,623
4,298
2,688
3,767
Accrued investment income
503
514
512
529
Deferred acquisition costs
14,249
13,422
12,302
11,887
Reinsurance Recoverables, Including Reinsurance Premium Paid
33,126
29,641
25,422
21,830
Market Risk Benefit, Reinsurance Recoverable, after Allowance
-
-
149
121
Market Risk Benefit, Asset, Amount
-
-
6,737
8,899
Deferred income taxes, net
954
385
640
480
Other assets
853
946
1,294
787
Separate Account Asset
248,900
196,000
219,656
229,143
Total assets
375,484
311,058
330,255
338,450
Reserves for future policy benefits and claims payable
17,629
14,273
11,898
11,072
Other Policyholder Funds
59,689
58,195
55,319
58,312
Market Risk Benefit, Liability, Amount
-
-
4,785
3,774
Funds Held under Reinsurance Agreements, Liability
29,007
22,957
19,952
16,742
Long-term debt
2,649
2,635
2,037
2,034
Repurchase agreements and securities lending payable
1,589
1,048
19
1,554
Collateral payable for derivative instruments
913
689
780
150
Freestanding derivative instruments
41
2,065
1,210
361
Related Party
-
-
1,988
2,343
Nonrelated Party
-
-
2,277
2,983
Other liabilities
3,944
2,403
-
-
Separate account liabilities
248,900
196,000
219,656
229,143
Total liabilities
364,410
301,903
319,921
328,468
Preferred Stock, Value, Issued
-
-
533
533
Common Stock, Value, Issued
1
1
1
1
Additional paid-in capital
6,051
6,063
6,005
6,046
Treasury stock, at cost; 21,107,672 and 15,820,785 shares at December 31, 2024 and 2023, respectively
-
443
599
1,007
Accumulated Other Comprehensive Income (Loss), Net of Tax
1,744
-5,481
-2,808
-3,522
Retained earnings
2,809
8,283
7,038
7,713
Total shareholders' equity
11,074
9,155
10,334
9,982
Noncontrolling interests
680
732
164
218
Total equity
11,074
9,155
10,334
9,982
Total liabilities and equity
375,484
311,058
330,255
338,450