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JXN-PAJackson Financial Inc.
$25.41$1.8B
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HomeStocksJXN-PAQuarterly Cash Flow

Jackson Financial Inc. (JXN-PA) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Jackson Financial Inc. (JXN-PA) quarterly cash flow statement — complete operating, investing & financing history

JXN-PA Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations01.62B1.37B1.17B1.59B1.52B1.36B1.48B1.43B1.63B1.13B1.09B
Operating CF Growth %-100%6.3%0.44%-20.64%11.78%-6.67%20.81%36.1%-2.4%-27.86%33.61%-10.91%
Operating CF / Revenue %0%81.54%101.56%-242.86%42.81%965.19%65.17%123.17%-397.21%180.55%43.54%251.97%
Net Income0149M91M185M-18M358M-466M275M802M-1.56B2.79B1.22B
Depreciation & Amortization0-8M00000000609M2.4B
Stock-Based Compensation0126M34M18M54M29M69M48M45M33M35M15M
Deferred Taxes0-5M3M-9M2M35M289M-17M-13M-183M276M253M
Other Non-Cash Items01.31B1.47B1.15B1.45B1B1.98B1.15B512M3.29B-2.67B-2.56B
Working Capital Changes047M-225M-172M106M101M-505M23M80M53M85M-242M
Cash from Investing-531M-1.94B-2.09B-2.77B-953M-2.77B-401M-1.91B-2.01B93M2.12B78M
Capital Expenditures000000000000
Acquisitions000000000000
Purchase of Investments-531M-10.51B-4.33B-4.35B-3.73B-5.42B-3.38B-4.53B-4.88B-3.7B-1.03B-2.81B
Sale/Maturity of Investments06.41B2.26B1.34B2.77B2.64B2.72B2.71B2.74B3.42B3.08B2.22B
Other Investing02.15B-29M251M-1M6M265M-94M135M375M65M667M
Cash from Financing1.22B1.47B1.5B1.49B-521M1.95B359M-369M433M-1.8B-2.59B-842M
Dividends Paid-64M-65M-65M-68M-69M-62M-64M-64M-65M-60M-62M-63M
Share Repurchases150M-152M-157M-158M-202M-99M-114M-109M-120M-70M-72M-94M
Stock Issued500M00000000000
Debt Issuance (Net)0-1000K1000K1000K-1000K1000K-1000K1000K-1000K-1000K1000K-1000K
Other Financing1.28B1.81B1.68B1.61B783M1.39B716M-740M834M-1.13B-2.63B-643M
Net Change in Cash-165M1.14B778M-103M120M706M1.32B-805M-147M-74M662M322M
Exchange Rate Effect000000000000
Cash at Beginning5.7B4.56B3.78B3.89B3.77B3.06B1.74B2.54B2.69B2.77B2.1B1.78B
Cash at End5.54B5.7B4.56B3.78B3.89B3.77B3.06B1.74B2.54B2.69B2.77B2.1B
Free Cash Flow01.62B1.37B1.17B1.59B1.52B1.36B1.48B1.43B1.63B1.13B1.09B
FCF Growth %-100%6.3%0.44%-20.64%11.78%-6.67%20.81%36.1%-2.4%-27.86%33.61%-10.91%
FCF Margin %0%81.54%101.56%-242.86%42.81%965.19%65.17%123.17%-397.21%180.55%43.54%251.97%
FCF per Share-23.0719.4916.3121.2220.317.719.1818.0820.2413.6312.81