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米国企業
Jackson Financial Inc.
Raw
Jackson Financial Inc.
JXN
時価総額
$67.6億
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
Net income (loss)
3,445
5,740
954
976
Net realized losses (gains) on investments
182
-359
-554
-11
Net losses (gains) on derivatives
-2,639
2,024
-5,310
-6,801
Net losses (gains) on funds withheld reinsurance treaties
-21
2,186
-1,801
-1,052
Net (gain) loss on market risk benefits
-
-
3,897
3,809
(Gain) loss from updating future policy benefits cash flow assumptions, net
-
-
-102
-46
Interest Credited to Policy Owner Account
868
862
1,145
1,110
Mortality, expense and surrender charges
553
530
528
545
Amortization of discount and premium on investments
-49
-11
27
33
Deferred income tax expense (benefit)
675
1,413
-207
294
Share-based compensation expense
129
131
107
191
Accrued investment income
-55
11
-2
17
Deferred acquisition costs
269
-1,119
-622
-415
Funds withheld, net of reinsurance
757
402
20
-211
Future policy benefits
-
-
731
777
Other assets and liabilities, net
377
-724
-123
133
Net cash provided by (used in) operating activities
5,743
5,206
5,310
5,793
Debt securities
19,568
11,535
11,488
10,524
Equity securities
50
84
316
289
Mortgage loans
1,747
1,695
2,492
1,783
Debt securities
14,733
11,606
8,231
11,718
Equity securities
111
249
200
16
Mortgage loans
2,427
1,816
1,605
1,132
Settlements related to derivatives and collateral on investments
4,836
674
5,475
6,481
Other investing activities
554
343
-623
339
Net cash provided by (used in) investing activities
-1,296
-1,374
-592
-7,090
Deposits
20,149
18,456
14,189
20,122
Withdrawals
28,788
25,173
29,112
39,372
Net transfers to separate accounts
2,664
5,685
10,017
19,892
Proceeds from (payments on) repurchase agreements and securities lending
476
-
-
1,532
Net proceeds from (payments on) Federal Home Loan Bank notes
380
-
-250
-450
Payments on debt
-
-
603
5
Debt issuance costs
28
7
-
-
Proceeds from Issuance of Long-Term Debt
-
-
297
948
Repayments of debt of consolidated investment entities
-
-
351
526
Proceeds from Contributions from Affiliates
-
-
111
29
Distributions from partners of consolidated investments
-
-
92
-
Dividends on common stock
50
186
201
211
Dividends on preferred stock
-
-
35
44
Purchase of treasury stock
211
321
306
442
Issuance of preferred stock
-
-
533
-
Net cash provided by (used in) financing activities
-3,835
-2,162
-6,328
2,373
Net increase (decrease) in cash, cash equivalents, and restricted cash
612
1,670
-1,610
1,076
Income Taxes Paid, Net
-403
-5
-21
-8
Interest paid
30
107
183
263
Debt Securities Acquired From Noncash Transactions
370
506
144
50
Other invested assets acquired from stock splits and stock distributions
99
112
317
-