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JAKK Jakks Pacific

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  • 18.740
  • +0.320+1.74%
Close May 2 16:00 ET
  • 18.740
  • 0.0000.00%
Post 20:01 ET
208.88MMarket Cap4.46P/E (TTM)

Jakks Pacific Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
86.78%-1.7M
-41.35%38.95M
354.53%54.13M
-81.33%12.49M
-159.40%-14.8M
-212.51%-12.86M
-22.87%66.4M
-296.22%-21.27M
72.72%66.87M
-36.56%24.92M
Net income from continuing operations
83.25%-2.38M
-10.27%34.2M
16.18%-9.11M
8.63%52.27M
-14.82%5.27M
-167.49%-14.23M
-58.16%38.11M
-128.53%-10.87M
56.87%48.12M
-76.41%6.18M
Operating gains losses
-50.00%1K
-98.72%115K
--0
-100.38%-3K
-98.36%116K
101.21%2K
1,427.46%9.01M
192.09%1.32M
-89.34%794K
216.29%7.07M
Depreciation and amortization
2.97%1.56M
17.02%10.05M
-1.91%2.31M
54.48%4.09M
-10.82%2.13M
27.12%1.51M
-18.84%8.59M
20.59%2.35M
-37.83%2.65M
-6.38%2.39M
Deferred tax
-1,100.00%-10K
78.23%-2.25M
78.12%-2.25M
----
----
--1K
82.13%-10.34M
82.22%-10.29M
----
----
Change In working capital
11.36%-3.49M
-231.99%-14.41M
1,180.75%61.14M
-471.87%-46.32M
-437.10%-25.3M
-16.28%-3.94M
-68.38%10.92M
-119.94%-5.66M
301.50%12.46M
-48.88%7.51M
-Change in receivables
-15.81%36.03M
57.57%-9.23M
91.18%159.09M
-100.61%-150.6M
-28.44%-60.51M
148.52%42.8M
-149.00%-21.75M
-18.59%83.21M
-83.13%-75.07M
22.17%-47.12M
-Change in inventory
-106.07%-383K
-100.48%-133K
-33.71%10.73M
-222.87%-12.18M
-365.55%-4.99M
-62.08%6.31M
738.74%27.97M
-43.31%16.19M
-126.03%-3.77M
97.21%-1.07M
-Change in prepaid assets
57.79%-4.73M
-50,616.67%-6.09M
-1,729.78%-5.97M
303.88%18.33M
-553.41%-7.25M
-71.90%-11.2M
-100.25%-12K
-92.31%366K
28.52%4.54M
-46.74%1.6M
-Change in payables and accrued expense
16.86%-26.09M
-85.45%2.12M
1.91%-99M
11.48%86.5M
-20.10%46M
-59.45%-31.38M
164.21%14.55M
-1.34%-100.93M
2,224.42%77.59M
-44.95%57.58M
-Change in other current liabilities
488.43%1.27M
-53.40%1.63M
164.65%1.31M
-92.73%255K
45.79%-148K
195.58%216K
502.76%3.5M
325.00%495K
2,519.31%3.51M
-3.80%-273K
-Change in other working capital
10.16%-9.59M
79.66%-2.71M
-0.78%-5.02M
101.04%11.38M
149.70%1.6M
1.30%-10.67M
-338.66%-13.35M
32.13%-4.98M
-58.35%5.66M
-151.41%-3.21M
Cash from discontinued investing activities
Operating cash flow
86.78%-1.7M
-41.35%38.95M
354.53%54.13M
-81.33%12.49M
-159.40%-14.8M
-212.51%-12.86M
-22.87%66.4M
-296.22%-21.27M
72.72%66.87M
-36.56%24.92M
Investing cash flow
Cash flow from continuing investing activities
15.66%-3.07M
-44.71%-12.89M
-20.71%-3.9M
-259.51%-2.82M
-78.75%-2.54M
-4.67%-3.63M
14.25%-8.91M
-40.48%-3.23M
72.16%-783K
58.89%-1.42M
Net PPE purchase and sale
7.05%-2.07M
-26.82%-11.24M
-22.32%-3.9M
-247.00%-2.72M
-68.75%-2.4M
35.86%-2.23M
14.64%-8.87M
-38.70%-3.19M
72.16%-783K
58.89%-1.42M
Net investment purchase and sale
29.28%-995K
-3,912.20%-1.65M
----
----
---142K
---1.41M
---41K
----
----
----
Cash from discontinued investing activities
Investing cash flow
15.66%-3.07M
-44.71%-12.89M
-20.71%-3.9M
-259.51%-2.82M
-78.75%-2.54M
-4.67%-3.63M
14.25%-8.91M
-40.48%-3.23M
72.16%-783K
58.89%-1.42M
Financing cash flow
Cash flow from continuing financing activities
66.98%-6.61M
62.76%-26.92M
20.80%-457K
-394.92%-6.33M
99.57%-131K
49.92%-20M
-133.01%-72.29M
23.68%-577K
93.18%-1.28M
-187.21%-30.5M
Net issuance payments of debt
----
--0
--0
---5M
116.39%5M
--0
-133.81%-69.22M
--0
--0
-187.21%-30.5M
Net common stock issuance
---3.82M
-125.34%-6.92M
20.80%-457K
-3.99%-1.33M
---5.13M
--0
-116.20%-3.07M
-321.17%-577K
-100.16%-1.28M
--0
Net preferred stock issuance
--0
---20M
--0
--0
--0
---20M
--0
--0
--0
--0
Cash dividends paid
---2.79M
----
----
----
----
--0
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
66.98%-6.61M
62.76%-26.92M
20.80%-457K
-394.92%-6.33M
99.57%-131K
49.92%-20M
-133.01%-72.29M
23.68%-577K
93.18%-1.28M
-187.21%-30.5M
Net cash flow
Beginning cash position
-3.33%70.14M
-15.13%72.55M
-76.90%22.28M
-44.80%17.9M
-7.33%35.49M
-15.13%72.55M
88.59%85.49M
25.92%96.45M
-47.93%32.43M
-2.36%38.3M
Current changes in cash
68.85%-11.37M
94.19%-860K
298.50%49.77M
-94.85%3.34M
-149.66%-17.47M
23.20%-36.5M
-133.10%-14.79M
-422.21%-25.07M
278.04%64.8M
-127.76%-7M
Effect of exchange rate changes
211.15%628K
-183.94%-1.56M
-262.40%-1.92M
232.40%1.04M
-110.27%-116K
-270.18%-565K
140.95%1.86M
6.21%1.18M
72.18%-787K
152.49%1.13M
End cash Position
67.35%59.4M
-3.33%70.14M
-3.33%70.14M
-76.90%22.28M
-44.80%17.9M
-7.33%35.49M
-15.13%72.55M
-15.13%72.55M
25.92%96.45M
-47.93%32.43M
Free cash flow
75.02%-3.77M
-51.82%27.7M
305.35%50.23M
-85.22%9.77M
-173.22%-17.2M
-98.41%-15.09M
-24.05%57.5M
-386.47%-24.46M
84.04%66.07M
-34.42%23.49M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 86.78%-1.7M-41.35%38.95M354.53%54.13M-81.33%12.49M-159.40%-14.8M-212.51%-12.86M-22.87%66.4M-296.22%-21.27M72.72%66.87M-36.56%24.92M
Net income from continuing operations 83.25%-2.38M-10.27%34.2M16.18%-9.11M8.63%52.27M-14.82%5.27M-167.49%-14.23M-58.16%38.11M-128.53%-10.87M56.87%48.12M-76.41%6.18M
Operating gains losses -50.00%1K-98.72%115K--0-100.38%-3K-98.36%116K101.21%2K1,427.46%9.01M192.09%1.32M-89.34%794K216.29%7.07M
Depreciation and amortization 2.97%1.56M17.02%10.05M-1.91%2.31M54.48%4.09M-10.82%2.13M27.12%1.51M-18.84%8.59M20.59%2.35M-37.83%2.65M-6.38%2.39M
Deferred tax -1,100.00%-10K78.23%-2.25M78.12%-2.25M----------1K82.13%-10.34M82.22%-10.29M--------
Change In working capital 11.36%-3.49M-231.99%-14.41M1,180.75%61.14M-471.87%-46.32M-437.10%-25.3M-16.28%-3.94M-68.38%10.92M-119.94%-5.66M301.50%12.46M-48.88%7.51M
-Change in receivables -15.81%36.03M57.57%-9.23M91.18%159.09M-100.61%-150.6M-28.44%-60.51M148.52%42.8M-149.00%-21.75M-18.59%83.21M-83.13%-75.07M22.17%-47.12M
-Change in inventory -106.07%-383K-100.48%-133K-33.71%10.73M-222.87%-12.18M-365.55%-4.99M-62.08%6.31M738.74%27.97M-43.31%16.19M-126.03%-3.77M97.21%-1.07M
-Change in prepaid assets 57.79%-4.73M-50,616.67%-6.09M-1,729.78%-5.97M303.88%18.33M-553.41%-7.25M-71.90%-11.2M-100.25%-12K-92.31%366K28.52%4.54M-46.74%1.6M
-Change in payables and accrued expense 16.86%-26.09M-85.45%2.12M1.91%-99M11.48%86.5M-20.10%46M-59.45%-31.38M164.21%14.55M-1.34%-100.93M2,224.42%77.59M-44.95%57.58M
-Change in other current liabilities 488.43%1.27M-53.40%1.63M164.65%1.31M-92.73%255K45.79%-148K195.58%216K502.76%3.5M325.00%495K2,519.31%3.51M-3.80%-273K
-Change in other working capital 10.16%-9.59M79.66%-2.71M-0.78%-5.02M101.04%11.38M149.70%1.6M1.30%-10.67M-338.66%-13.35M32.13%-4.98M-58.35%5.66M-151.41%-3.21M
Cash from discontinued investing activities
Operating cash flow 86.78%-1.7M-41.35%38.95M354.53%54.13M-81.33%12.49M-159.40%-14.8M-212.51%-12.86M-22.87%66.4M-296.22%-21.27M72.72%66.87M-36.56%24.92M
Investing cash flow
Cash flow from continuing investing activities 15.66%-3.07M-44.71%-12.89M-20.71%-3.9M-259.51%-2.82M-78.75%-2.54M-4.67%-3.63M14.25%-8.91M-40.48%-3.23M72.16%-783K58.89%-1.42M
Net PPE purchase and sale 7.05%-2.07M-26.82%-11.24M-22.32%-3.9M-247.00%-2.72M-68.75%-2.4M35.86%-2.23M14.64%-8.87M-38.70%-3.19M72.16%-783K58.89%-1.42M
Net investment purchase and sale 29.28%-995K-3,912.20%-1.65M-----------142K---1.41M---41K------------
Cash from discontinued investing activities
Investing cash flow 15.66%-3.07M-44.71%-12.89M-20.71%-3.9M-259.51%-2.82M-78.75%-2.54M-4.67%-3.63M14.25%-8.91M-40.48%-3.23M72.16%-783K58.89%-1.42M
Financing cash flow
Cash flow from continuing financing activities 66.98%-6.61M62.76%-26.92M20.80%-457K-394.92%-6.33M99.57%-131K49.92%-20M-133.01%-72.29M23.68%-577K93.18%-1.28M-187.21%-30.5M
Net issuance payments of debt ------0--0---5M116.39%5M--0-133.81%-69.22M--0--0-187.21%-30.5M
Net common stock issuance ---3.82M-125.34%-6.92M20.80%-457K-3.99%-1.33M---5.13M--0-116.20%-3.07M-321.17%-577K-100.16%-1.28M--0
Net preferred stock issuance --0---20M--0--0--0---20M--0--0--0--0
Cash dividends paid ---2.79M------------------0----------------
Cash from discontinued financing activities
Financing cash flow 66.98%-6.61M62.76%-26.92M20.80%-457K-394.92%-6.33M99.57%-131K49.92%-20M-133.01%-72.29M23.68%-577K93.18%-1.28M-187.21%-30.5M
Net cash flow
Beginning cash position -3.33%70.14M-15.13%72.55M-76.90%22.28M-44.80%17.9M-7.33%35.49M-15.13%72.55M88.59%85.49M25.92%96.45M-47.93%32.43M-2.36%38.3M
Current changes in cash 68.85%-11.37M94.19%-860K298.50%49.77M-94.85%3.34M-149.66%-17.47M23.20%-36.5M-133.10%-14.79M-422.21%-25.07M278.04%64.8M-127.76%-7M
Effect of exchange rate changes 211.15%628K-183.94%-1.56M-262.40%-1.92M232.40%1.04M-110.27%-116K-270.18%-565K140.95%1.86M6.21%1.18M72.18%-787K152.49%1.13M
End cash Position 67.35%59.4M-3.33%70.14M-3.33%70.14M-76.90%22.28M-44.80%17.9M-7.33%35.49M-15.13%72.55M-15.13%72.55M25.92%96.45M-47.93%32.43M
Free cash flow 75.02%-3.77M-51.82%27.7M305.35%50.23M-85.22%9.77M-173.22%-17.2M-98.41%-15.09M-24.05%57.5M-386.47%-24.46M84.04%66.07M-34.42%23.49M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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