JAKKS Pacific, Inc.

JAKKS Pacific, Inc.

JAKKยทNASDAQ

$21.57

-0.96%
Consumer CyclicalLeisure

JAKKS Pacific, Inc. develops, produces, markets, sells, and distributes toys, consumables, and electronics and related products worldwide. It operates in two segments, Toys/Consumer Products and Costumes. The company offers action figures and accessories, such as licensed characters; toy vehicles and accessories; dolls and accessories, including small, large, fashion, and baby dolls based on licenses, as well as infant and pre-school products; private label products; and foot-to-floor ride-on products, inflatable environments, tents, and wagons. The company also provides role play, dress-up, pretend play, and novelty products for boys and girls based on brands and entertainment properties, as well as on its own proprietary brands; and indoor and outdoor kids' furniture, activity trays and tables, room dรฉcor, kiddie pools, and seasonal and outdoor products. In addition, it offers Halloween and everyday costumes for various ages based on licensed and proprietary non-licensed brands, and related Halloween accessories; outdoor activity toys; and junior sports toys, including hyper-charged balls, sport sets, and toy hoops. The company sells its products through in-house sales staff and independent sales representatives to toy and mass-market retail chain stores, department stores, office supply stores, drug and grocery store chains, club stores, value-oriented dollar stores, toy specialty stores, and wholesalers. JAKKS Pacific, Inc. was incorporated in 1995 and is headquartered in Santa Monica, California.

At a Glance

Live Snapshot
Market Cap$246.86M
EPS0.8800
P/E Ratio24.51
Earnings Date07/23/2026
3Y+9.0%
5Y+34.0%
10Y-5.0%
3Y-25.0%
5Y-39.0%
10Y-41.0%
3Y+70.0%
5Y+1597.0%
10Y+84.0%
jakk

JAKKS Pacific, Inc. Funding & Solvency Profile

JAKK ยท NASDAQ
Cash & Cash Equivalents54.07M
Net Receivables138.34M
Inventory59.80M
Other Current Assets16.87M
Total Current Assets269 M
Property, Plant & Equipment65.78M
Goodwill & Intangible Assets35.08M
Long-Term Investments0.00
Other Non-Current Assets2.68M
Total Non-Current Assets68 M
Total Assets
442.20M

Financial Health Analysis

Current Ratio

1.82x

Strong liquidity. The company has adequate resources to meet short-term liabilities.

Debt-to-Equity Ratio

0.78x

Balanced capital structure with moderate leverage. Equity exceeds debt, suggesting healthy financial stability.

Working Capital

121 M

Strong working capital position provides significant operational flexibility and financial cushion.

Asset Composition

61% Current

Asset-light business model with high liquidity. Majority of assets are easily convertible to cash.

Financial Health Insight

Strong financial foundation: Excellent liquidity combined with conservative leverage suggests the company is well-positioned to weather economic uncertainties and fund growth opportunities.

JAKKS Pacific, Inc. Balance Sheet

JAKK โ€ข NASDAQ

JAKKS Pacific, Inc. Balance SheetDec 2025Dec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013Dec 2012Dec 2011Dec 2010Dec 2009Dec 2008Dec 2007Dec 2006
ASSETS
CURRENT ASSETS
54.1M
69.9M
72.6M
85.3M
44.5M
92.7M
61.6M
53.3M
65M
86.1M
102.5M
71.5M
117.1M
189.3M
257.3M
278.3M
254.8M
169.5M
241.3M
184.5M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
220K
220K
218K
214K
207K
202K
195K
218K
210K
54.1M
69.9M
72.6M
85.3M
44.5M
92.7M
61.6M
53.3M
65M
86.1M
102.5M
71.7M
117.3M
189.5M
257.5M
278.6M
255M
169.7M
241.5M
184.7M
138.3M
140.4M
126.8M
105M
147.4M
102.3M
117.9M
122.3M
142.5M
174.8M
187.4M
258.5M
125.2M
129.5M
127.8M
141.5M
164.9M
169.9M
174.5M
153.1M
138.3M
131.6M
123.8M
102.8M
147.4M
102.3M
117.9M
122.3M
142.5M
173.6M
163.4M
234.5M
101.2M
105.5M
103.6M
122.5M
129.9M
147.6M
174.5M
153.1M
0.0
8.8M
3M
2.2M
0.0
0.0
0.0
0.0
0.0
1.2M
24M
24M
24M
24M
24.2M
19.1M
35M
22.3M
0.0
0.0
59.8M
52.8M
52.6M
80.6M
84M
38.6M
54.3M
53.9M
58.4M
75.4M
60.5M
78.8M
46.8M
59.7M
47M
43.2M
34.5M
87.9M
75.5M
76.8M
0.0
3.2M
3.2M
2.8M
4.2M
0.0
20.6M
15.8M
16.8M
17.1M
31.9M
25.1M
27.7M
20.3M
30.7M
25.3M
34.3M
29.7M
21.7M
26.5M
16.9M
2.3M
243K
1.5M
7.5M
17.2M
5.9M
4.9M
0.0
0.0
0.0
3.4M
4M
7.1M
34.5M
23.6M
19.5M
18M
13.9M
37.1M
269.1M
268.7M
255.4M
275.2M
287.6M
250.8M
260.4M
250.1M
282.7M
353.4M
382.4M
437.6M
320.9M
399M
497.5M
514.8M
505.3M
472.5M
526.1M
451.7M
NON-CURRENT ASSETS
65.8M
68.9M
38.2M
34.8M
30.1M
37.9M
47.3M
20.9M
23.2M
22.8M
18.4M
11.1M
11.1M
15.8M
16.2M
16.9M
21.2M
28.5M
21.4M
16.9M
35.1M
35.1M
35.1M
35.1M
35.1M
35.1M
35.1M
35.1M
35.4M
43.2M
44.2M
44.5M
44.9M
48.8M
24M
7M
1.6M
427.7M
353.3M
338M
0.0
0.0
0.0
0.0
4.3M
2.3M
22.4M
36.7M
29.1M
37.9M
53.5M
61.6M
65.9M
73.9M
27.7M
38.4M
42.9M
38.1M
45.8M
60.4M
35.1M
35.1M
35.1M
35.1M
39.4M
37.4M
57.5M
71.8M
64.5M
81.1M
97.7M
106.1M
110.8M
122.8M
51.7M
45.4M
44.5M
465.8M
399.1M
398.4M
0.0
0.0
0.0
0.0
0.0
0.0
-19.2M
-20.5M
-7.4M
7M
7M
7M
7M
10.2M
2.7M
74K
6.7M
53.2M
36M
15M
69.6M
70.4M
68.1M
57.8M
0.0
0.0
226K
1.4M
783K
2M
446K
3.4M
4M
7.1M
47.1M
56.3M
56.3M
18M
12.9M
10.6M
2.7M
1.8M
2.2M
2.5M
0.0
3.2M
18.9M
19.1M
6.6M
-2M
0.0
-3.4M
-4M
-7.1M
0.0
0.0
0.0
-18M
-12.9M
-10.7M
173.1M
176.2M
143.6M
130.1M
69.5M
78.5M
104.8M
92.7M
87.7M
110.9M
123.5M
124.2M
128.9M
148.8M
117.7M
118.7M
128.8M
547.5M
456.6M
430.2M
442.2M
444.9M
399M
405.3M
357M
329.4M
365.2M
342.8M
370.3M
464.3M
505.9M
561.8M
449.8M
547.8M
615.2M
633.4M
634.1M
1B
982.7M
881.9M
LIABILITIES
CURRENT LIABILITIES
57.7M
57.1M
55.2M
51.7M
67.1M
41M
63.7M
57.6M
49.9M
51.7M
35M
56.1M
25.3M
50.7M
28.6M
42M
37.6M
64.6M
74.3M
84.1M
55.6M
56M
51.4M
43.5M
66.1M
40.5M
61.2M
57.6M
49.9M
51.7M
35M
56.1M
25.3M
37.8M
26.4M
35.9M
37.6M
57.4M
52.3M
65.6M
2.1M
1M
3.8M
8.2M
1M
484K
2.5M
0.0
0.0
0.0
0.0
0.0
0.0
12.9M
2.2M
6.1M
0.0
7.2M
44M
37.1M
0.0
48.2M
8.3M
37.1M
39M
4.7M
36.1M
4M
36.6M
34.4M
47M
70.3M
53.8M
3.9M
2.5M
8.4M
2.5M
61.8M
18.5M
8.8M
13.8M
0.0
7.4M
25.5M
2.1M
15.9M
1.9M
27.2M
26.1M
10M
0.0
0.0
38.1M
70.7M
0.0
0.0
20.3M
417K
0.0
0.0
0.0
8.1M
0.0
10.7M
10.5M
0.0
9.5M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
27K
155K
417K
0.0
0.0
0.0
1M
3.8M
8.2M
1M
484K
2.5M
1.5M
1.3M
2.2M
21.1M
23.8M
20.8M
12.9M
2.2M
6.1M
16.8M
7.2M
22M
18.5M
0.0
247K
701K
922K
2.5M
938K
557K
561K
3.9M
-38.6M
1.7M
0.0
-69.1M
1.1M
0.0
-54.5M
-64.1M
-417K
0.0
0.0
76.6M
35.8M
77.6M
51.9M
51.9M
75.8M
41.2M
54.7M
23.2M
20.6M
45.5M
65M
67.4M
93.1M
91M
74.5M
95.5M
22.9M
77.6M
78.5M
148.1M
149.4M
149.2M
177.8M
173.1M
138.3M
152.9M
144.1M
135.8M
116.8M
130.1M
191.3M
184.6M
219.5M
122.8M
124.9M
156M
142.9M
170.4M
171.4M
NON-CURRENT LIABILITIES
39.6M
0.0
0.0
41.6M
93.4M
150.4M
175M
139.8M
133.5M
203M
209.2M
215M
100M
94.9M
92.2M
89.5M
103.5M
98M
98M
98M
0.0
0.0
0.0
0.0
0.0
0.0
2M
-56.4M
1.3M
2.2M
-540K
2.5M
2.6M
4.7M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
51K
123K
226K
1.4M
783K
2M
2.7M
6M
6.9M
3.1M
0.0
0.0
0.0
30M
5.6M
2.4M
-34.2M
6.2M
36.9M
29.3M
24.6M
9M
7.5M
5.9M
5.8M
9.3M
9.6M
4.4M
9.6M
23M
6.6M
6.6M
2.5M
6.8M
17.7M
854K
45M
54.6M
53.6M
80.8M
126.1M
176.4M
208.3M
147.1M
140.1M
212.3M
222.4M
225.4M
116.6M
121.1M
98.8M
96.1M
106M
130.1M
121.3M
101.2M
39.6M
56.5M
16.7M
20.6M
18.5M
16.9M
35.1M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
27K
155K
0.0
0.0
0.0
193.1M
204M
202.8M
258.6M
299.1M
314.7M
361.2M
291.2M
275.8M
329.1M
352.5M
416.7M
301.2M
340.5M
221.6M
221M
262M
273M
291.7M
272.6M
SHAREHOLDERS' EQUITY
0.0
0.0
0.0
0.0
-3.1M
0.0
-483K
-24M
-24M
-24M
-28.3M
-24M
0.0
0.0
0.0
-5.6M
0.0
0.0
0.0
0.0
0.0
0.0
6M
0.0
3.1M
1.7M
483K
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
11K
11K
10K
10K
10K
6K
36K
30K
27K
20K
21K
23K
23K
22K
26K
28K
28K
28K
28K
28K
302.4M
297.2M
278.6M
275.2M
272.9M
221.6M
200.5M
218.2M
215.8M
177.6M
194.7M
202.1M
200.7M
202.6M
274.5M
302.4M
303.5M
292.8M
312.1M
300.3M
-41M
-39.7M
-73.6M
-112M
-203.4M
-197.4M
-183.1M
-127.6M
-85.2M
-2.1M
-3.4M
-26.6M
-48.2M
8.8M
123.2M
119.9M
72.8M
458.3M
382.3M
312.4M
-12.3M
-17.2M
-15.6M
-17.5M
-13M
-12.4M
-14.4M
-15.8M
-13.1M
-17.2M
-10.1M
-6.8M
-3.8M
-4.2M
-4.1M
-4.3M
-4.2M
-4.2M
-3.4M
-3.4M
249.1M
240.3M
195.4M
145.7M
56.6M
13.5M
2.9M
50.7M
93.5M
134.3M
153M
144.6M
148.7M
207.2M
393.6M
412.4M
372.1M
747M
691M
609.3M
249.1M
240.8M
196.1M
146.7M
57.9M
14.7M
4M
51.6M
94.5M
135.2M
153.4M
145.1M
148.7M
207.2M
393.6M
412.4M
372.1M
747M
691M
609.3M
0.0
500K
708K
1M
1.3M
1.2M
1.1M
912K
969K
912K
406K
490K
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
SUMMARY
442.2M
444.9M
399M
405.3M
357M
329.4M
365.2M
342.8M
370.3M
464.3M
505.9M
561.8M
449.8M
547.8M
615.2M
633.4M
634.1M
1B
982.7M
881.9M
0.0
0.0
0.0
0.0
0.0
0.0
-19.2M
-20.5M
-7.4M
7M
7M
7.2M
7.2M
10.4M
3M
281K
6.9M
53.4M
36.2M
15.2M
92.9M
56.5M
24M
87.8M
114M
183.2M
212M
167M
159.6M
213M
215M
215M
138.1M
165.6M
92.2M
89.5M
123.8M
98M
98M
98M
38.9M
-13.4M
-48.5M
2.5M
69.5M
90.5M
150.3M
113.7M
94.6M
126.9M
112.5M
143.5M
21M
-23.7M
-165.1M
-188.9M
-131.1M
-71.5M
-143.3M
-86.5M
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800
11,146,800

SEC Filings

JAKK - Filing history and reports

Filing TypeFiling DatePeriod EndingFiscal YearActions
10-Q

10-Q 2026 Q1

Q1

May 01, 2026
March 31, 2026
2026
8-K

8-K 2026

N/A

May 01, 2026
April 29, 2026
2026
S-3/A

S-3/A (Amended)

N/A

April 30, 2026
April 30, 2026
ย 
DEF 14A

DEF 14A 2026

N/A

April 22, 2026
June 05, 2026
2026
8-K

8-K 2026

N/A

March 27, 2026
March 25, 2026
2026
10-K

10-K 2025 FY

FY

March 02, 2026
December 31, 2025
2025
8-K

8-K 2026

N/A

February 20, 2026
February 18, 2026
2026
10-Q

10-Q 2025 Q3

Q3

October 31, 2025
September 30, 2025
2025
8-K

8-K 2025

N/A

October 31, 2025
October 29, 2025
2025
S-3

S-3

N/A

October 29, 2025
October 29, 2025
ย 
Showing 1 to 10 of 446 filings