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Jakks Pacific Inc  (JAKK)
Other Ticker:  
    Sector  Consumer Discretionary    Industry Recreational Products
Price: $3.2500 $-0.10 -2.985%
Day's High: $ 3.4 Week Perf: -5.8 %
Day's Low: $ 3.25 30 Day Perf: -15.58 %
Volume (M): 46 52 Wk High: $ 9.75
Volume (M$): $ 149 52 Wk Avg: $ 5.76
Open: $ 3.35 52 Wk Low: 3.05
  JAKK Charts & Quotes
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 Market Capitalization (Millions $) 70
 Shares Outstanding (Millions) 22
 Employees 775
 Revenues (TTM) (Millions $) 684
 Net Income (TTM) (Millions $) -12
 Cash Flow (TTM) (Millions $) 6
 Capital Exp. (TTM) (Millions $) 13
Jakks Pacific Inc
We are a leading multi-line, multi-brand toy company that designs, produces, markets and distributes toys and related products, pet toys, consumables and related products, electronics and related products, kids indoor and outdoor furniture, and other consumer products. We focus our business on acquiring or licensing well-recognized trademarks and brand names, most with long product histories (“evergreen brands”). We seek to acquire these evergreen brands because we believe they are less subject to market fads or trends. We also develop proprietary products marketed under our own trademarks and brand names, and have historically acquired complementary businesses to further grow our portfolio. For accounting purposes, our products can be divided into two segments: (i) traditional toys and electronics and (ii) role play, novelty and seasonal toys.

JAKK is expected to report next financial results on November 08, 2017.

Jakks Pacific Inc's Segments
Company Estimates
  Revenue Outlook
   Jakks Pacific Inc does not issue revenue guidance.

  Earnings Outlook
   Jakks Pacific Inc does not provide earnings estimates.  


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JAKK's Valuation Current
Price to Earnings PE Ratio (TTM) -
Price to Earnings PE Ratio (Expected) -
Price to Sales (TTM) 0.10
Price to Sales (Expected) -
Price to Book 0.51
JAKK's Financial Strength Current
Quick Ratio 0.72
Working Capital Ratio 3.24
Leverage Ratio (MRQ) 1.81
Total Debt to Equity 1.1
Interest Coverage (TTM) 2.26
Debt Coverage (TTM) 0.14
Per Share Current
Earnings (TTM) -1.42 $
Revenues (TTM) 31.64 $
Cash Flow (TTM) 0.26 $
Cash 2.97 $
Book Value 6.43 $
Dividend (TTM) 0 $

• View Valuation Comparisons • View Growth Rates Comparisons

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JAKK's Efficiency Current
Revenue per Employee (TTM) 882,435
Net Income per Employee (TTM) -15,735
Receivable Turnover Ratio (TTM) 4.18
Inventory Turnover Ratio (TTM) 6.33
Asset Turnover Ratio (TTM) 1.52
JAKK's Profitability Ratio Current
Gross Margin 28.2 %
Operating Margin -
Net Margin -
Net Cash Flow Margin 24.32 %
Effective Tax Rate (TTM) -
Management Effectiveness Current
Return On Assets (TTM) -
Return On Investment (TTM) -
Return On Equity (TTM) -
Dividend Yield -
Payout Ratio (TTM) -
• View Efficiency Comparisons • View Profitability Comparisons • View Management Effectiveness

Customers Net Income fell by JAKK's customers Net margin fell to %
-77.01 % 0.52 %
• Customers Performance • Customers Expend. • Customers Efficiency • List of Customers
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Major Competitors Stock performance

5 Days Decrease / Increase
HAS   -0.67%    
MAT   -3.21%    
CRI   -2.44%    
DIS        0.05% 
• View Complete Report


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