- 米国企業
- Jackson Financial Inc.
Jackson Financial Inc.JXN
| 2023年 12月31日 |
---|
Net income (loss) | 954 |
---|
Net realized losses (gains) on investments | -554 |
---|
Net losses (gains) on derivatives | -5,310 |
---|
Net losses (gains) on funds withheld reinsurance treaties | -1,801 |
---|
Interest Credited to Policy Owner Account | 1,145 |
---|
Net (gain) loss on market risk benefits | 3,897 |
---|
Mortality, expense and surrender charges | 528 |
---|
(Gain) loss from updating future policy benefits cash flow assumptions, net | -102 |
---|
Amortization of discount and premium on investments | 27 |
---|
Interest Credited to Policy Owner Account | 1,145 |
---|
Deferred income tax expense (benefit) | -207 |
---|
Mortality, expense and surrender charges | 528 |
---|
Share-based compensation expense | 107 |
---|
Amortization of discount and premium on investments | 27 |
---|
Deferred income tax expense (benefit) | -207 |
---|
Accrued investment income | -2 |
---|
Deferred acquisition costs | -622 |
---|
Funds withheld, net of reinsurance | 20 |
---|
Other assets and liabilities, net | -123 |
---|
Future policy benefits | 731 |
---|
Other assets and liabilities, net | -123 |
---|
Share-based compensation expense | 107 |
---|
Accrued investment income | -2 |
---|
Deferred acquisition costs | -622 |
---|
Funds withheld, net of reinsurance | 20 |
---|
Other assets and liabilities, net | -123 |
---|
Future policy benefits | 731 |
---|
Other assets and liabilities, net | -123 |
---|
Net cash provided by (used in) operating activities | 5,310 |
---|
Debt securities | 11,488 |
---|
Equity securities | 316 |
---|
Mortgage loans | 2,492 |
---|
Debt securities | 8,231 |
---|
Equity securities | 200 |
---|
Mortgage loans | 1,605 |
---|
Settlements related to derivatives and collateral on investments | 5,475 |
---|
Other investing activities | -623 |
---|
Net cash provided by (used in) investing activities | -592 |
---|
Deposits | 14,189 |
---|
Withdrawals | 29,112 |
---|
Net transfers to separate accounts | 10,017 |
---|
Proceeds from (payments on) repurchase agreements and securities lending | -1,025 |
---|
Net proceeds from (payments on) Federal Home Loan Bank notes | -250 |
---|
Payments on debt | 603 |
---|
Proceeds from Issuance of Long-Term Debt | 297 |
---|
Dividends on common stock | 201 |
---|
Repayments of debt of consolidated investment entities | 351 |
---|
Purchase of treasury stock | 306 |
---|
Proceeds from Contributions from Affiliates | 111 |
---|
Distributions from partners of consolidated investments | 92 |
---|
Net cash provided by (used in) financing activities | -6,328 |
---|
Dividends on common stock | 201 |
---|
Dividends on preferred stock | 35 |
---|
Purchase of treasury stock | 306 |
---|
Issuance of preferred stock | 533 |
---|
Net cash provided by (used in) financing activities | -6,328 |
---|
Net increase (decrease) in cash, cash equivalents, and restricted cash | -1,610 |
---|
Income Taxes Paid, Net | -21 |
---|
Interest paid | 183 |
---|
Debt Securities Acquired From Noncash Transactions | 144 |
---|
Other invested assets acquired from stock splits and stock distributions | 317 |
---|