US Stock MarketDetailed Quotes

MFC Manulife Financial

Watchlist
  • 23.880
  • +0.140+0.59%
Close 03/01 16:00 ET
  • 23.990
  • +0.110+0.46%
Post 19:40 ET
43.13BMarket Cap12.13P/E (TTM)

Manulife Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
22.82%20.42B
26.29%6.17B
22.11%5.51B
22.86%5.79B
17.31%2.96B
-28.19%16.63B
-27.50%4.88B
-33.97%4.51B
-17.23%4.72B
-35.26%2.52B
Net income from continuing operations
383.32%5.61B
95.12%1.8B
188.92%1.23B
155.68%1.17B
215.29%1.41B
-128.63%-1.98B
-55.00%923M
-67.73%424M
-178.41%-2.1B
-241.39%-1.22B
Operating gains losses
-120.97%-2.85B
-1,525.45%-3.64B
82.91%2.67B
-100.08%-6M
-136.47%-1.86B
181.20%13.57B
94.86%-224M
68.83%1.46B
172.30%7.22B
-72.10%5.11B
Deferred tax
123.57%470M
205.02%565M
-192.05%-220M
100.81%8M
116.46%117M
-1,470.08%-1.99B
-47.80%-538M
8.64%239M
-288.15%-984M
-40.51%-711M
Other non cash items
----
----
----
----
----
---2.45B
---158M
--39M
--0
---2.33B
Change in working capital
69.15%18.75B
51.41%7.95B
-18.99%2.23B
410.51%5B
69.56%3.57B
2.36%11.08B
-43.07%5.25B
-35.47%2.75B
-92.03%980M
114.09%2.11B
-Change in loss and loss adjustment expense reserves
105.58%11.13B
246.91%8.42B
-6,866.67%-3.45B
-109.71%-85M
203.01%6.25B
-49.69%5.42B
-70.12%2.43B
-98.73%51M
-92.48%875M
115.83%2.06B
-Change in reinsurance recoverable on paid and unpaid losses
37.18%974M
-116.31%-53M
136.65%140M
357.77%531M
-63.41%356M
-5.84%710M
87.86%325M
-4,144.44%-382M
-147.69%-206M
515.82%973M
-Change in other working capital
33.95%6.64B
-116.99%-424M
79.81%5.54B
1,365.27%4.56B
-226.51%-3.03B
818.55%4.96B
171.20%2.5B
1,157.14%3.08B
34.63%311M
55.51%-928M
Cash from discontinued operating activities
Operating cash flow
22.82%20.42B
26.29%6.17B
22.11%5.51B
22.86%5.79B
17.31%2.96B
-28.19%16.63B
-27.50%4.88B
-33.97%4.51B
-17.23%4.72B
-35.26%2.52B
Investing cash flow
Cash flow from continuing investing activities
25.43%-13.72B
-31.43%-6.18B
25.35%-3.56B
99.55%-27M
-32.56%-3.95B
24.72%-18.4B
18.37%-4.7B
-7.58%-4.77B
-11.16%-5.95B
66.49%-2.98B
Net proceeds payment for loan
----
----
23.05%-20.03B
37.85%-17.32B
34.09%-22.29B
----
----
0.58%-26.03B
6.48%-27.86B
-1.76%-33.82B
Net business purchase and sale
99.45%-1M
--0
--0
----
----
-857.89%-182M
-1,113.33%-182M
--0
----
----
Net other investing changes
24.70%-13.72B
28.64%-65.81B
-22.53%16.47B
-21.11%17.29B
-40.54%18.33B
-118.87%-18.22B
-454.50%-92.23B
-2.24%21.26B
-10.34%21.92B
26.70%30.83B
Cash from discontinued investing activities
Investing cash flow
25.43%-13.72B
-31.43%-6.18B
25.35%-3.56B
99.55%-27M
-32.56%-3.95B
24.72%-18.4B
18.37%-4.7B
-7.58%-4.77B
-11.16%-5.95B
66.49%-2.98B
Financing cash flow
Cash flow from continuing financing activities
-139.18%-5.04B
16.06%-1.58B
-62.97%-1.09B
-2,556.98%-2.11B
-171.67%-258M
-2.98%-2.11B
-699.58%-1.89B
-122.33%-667M
102.92%86M
-74.88%360M
Increase decrease in deposit
-300.29%-693M
-263.86%-302M
-89.32%39M
-509.86%-582M
294.87%152M
86.02%346M
-15.28%-83M
239.31%365M
122.54%142M
-106.78%-78M
Net issuance payments of debt
292.78%1.03B
107.38%98M
-91.82%13M
-299.56%-455M
14.37%1.38B
112.14%263M
-6,889.47%-1.33B
567.65%159M
112.64%228M
489.64%1.2B
Net common stock issuance
19.34%-1.5B
46.53%-293M
24.24%-397M
-2.36%-433M
-3.28%-378M
-3,749.02%-1.86B
-9,233.33%-548M
-13,200.00%-524M
-14,200.00%-423M
-1,063.16%-366M
Net preferred stock issuance
--0
--0
--0
--0
--0
-89.10%279M
--0
--0
337.41%990M
-135.87%-711M
Cash dividends paid
-6.64%-2.97B
-5.86%-759M
-6.04%-720M
-10.95%-770M
-3.73%-723M
-11.48%-2.79B
0.00%-717M
-17.07%-679M
-12.66%-694M
-18.74%-697M
Net other financing charges
-155.02%-909M
-141.57%-328M
-283.33%-22M
180.89%127M
-168.06%-686M
1,033.33%1.65B
284.35%789M
-97.90%12M
-130.19%-157M
219.86%1.01B
Cash from discontinued financing activities
Financing cash flow
-139.18%-5.04B
16.06%-1.58B
-62.97%-1.09B
-2,556.98%-2.11B
-171.67%-258M
-2.98%-2.11B
-699.58%-1.89B
-122.33%-667M
102.92%86M
-74.88%360M
Net cash flow
Beginning cash position
-15.03%18.64B
6.83%21.74B
0.07%20.66B
-19.39%17.39B
-15.03%18.64B
-14.28%21.93B
-4.36%20.35B
9.42%20.64B
-0.50%21.57B
-14.28%21.93B
Current changes in cash
142.81%1.66B
6.39%-1.6B
192.66%859M
419.13%3.65B
-1,119.42%-1.26B
-16.38%-3.88B
-330.09%-1.71B
-144.23%-927M
55.89%-1.15B
97.12%-103M
Effect of exchange rate changes
-170.43%-412M
-2,490.00%-259M
-64.98%222M
-278.70%-386M
104.31%11M
283.39%585M
88.76%-10M
100.63%634M
199.08%216M
22.26%-255M
End cash position
6.70%19.88B
6.70%19.88B
6.83%21.74B
0.07%20.66B
-19.39%17.39B
-15.03%18.64B
-15.03%18.64B
-4.36%20.35B
9.42%20.64B
-0.50%21.57B
Free cash flow
22.82%20.42B
26.29%6.17B
22.11%5.51B
22.86%5.79B
17.31%2.96B
-28.19%16.63B
-27.50%4.88B
-33.97%4.51B
-17.23%4.72B
-35.26%2.52B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 22.82%20.42B26.29%6.17B22.11%5.51B22.86%5.79B17.31%2.96B-28.19%16.63B-27.50%4.88B-33.97%4.51B-17.23%4.72B-35.26%2.52B
Net income from continuing operations 383.32%5.61B95.12%1.8B188.92%1.23B155.68%1.17B215.29%1.41B-128.63%-1.98B-55.00%923M-67.73%424M-178.41%-2.1B-241.39%-1.22B
Operating gains losses -120.97%-2.85B-1,525.45%-3.64B82.91%2.67B-100.08%-6M-136.47%-1.86B181.20%13.57B94.86%-224M68.83%1.46B172.30%7.22B-72.10%5.11B
Deferred tax 123.57%470M205.02%565M-192.05%-220M100.81%8M116.46%117M-1,470.08%-1.99B-47.80%-538M8.64%239M-288.15%-984M-40.51%-711M
Other non cash items -----------------------2.45B---158M--39M--0---2.33B
Change in working capital 69.15%18.75B51.41%7.95B-18.99%2.23B410.51%5B69.56%3.57B2.36%11.08B-43.07%5.25B-35.47%2.75B-92.03%980M114.09%2.11B
-Change in loss and loss adjustment expense reserves 105.58%11.13B246.91%8.42B-6,866.67%-3.45B-109.71%-85M203.01%6.25B-49.69%5.42B-70.12%2.43B-98.73%51M-92.48%875M115.83%2.06B
-Change in reinsurance recoverable on paid and unpaid losses 37.18%974M-116.31%-53M136.65%140M357.77%531M-63.41%356M-5.84%710M87.86%325M-4,144.44%-382M-147.69%-206M515.82%973M
-Change in other working capital 33.95%6.64B-116.99%-424M79.81%5.54B1,365.27%4.56B-226.51%-3.03B818.55%4.96B171.20%2.5B1,157.14%3.08B34.63%311M55.51%-928M
Cash from discontinued operating activities
Operating cash flow 22.82%20.42B26.29%6.17B22.11%5.51B22.86%5.79B17.31%2.96B-28.19%16.63B-27.50%4.88B-33.97%4.51B-17.23%4.72B-35.26%2.52B
Investing cash flow
Cash flow from continuing investing activities 25.43%-13.72B-31.43%-6.18B25.35%-3.56B99.55%-27M-32.56%-3.95B24.72%-18.4B18.37%-4.7B-7.58%-4.77B-11.16%-5.95B66.49%-2.98B
Net proceeds payment for loan --------23.05%-20.03B37.85%-17.32B34.09%-22.29B--------0.58%-26.03B6.48%-27.86B-1.76%-33.82B
Net business purchase and sale 99.45%-1M--0--0---------857.89%-182M-1,113.33%-182M--0--------
Net other investing changes 24.70%-13.72B28.64%-65.81B-22.53%16.47B-21.11%17.29B-40.54%18.33B-118.87%-18.22B-454.50%-92.23B-2.24%21.26B-10.34%21.92B26.70%30.83B
Cash from discontinued investing activities
Investing cash flow 25.43%-13.72B-31.43%-6.18B25.35%-3.56B99.55%-27M-32.56%-3.95B24.72%-18.4B18.37%-4.7B-7.58%-4.77B-11.16%-5.95B66.49%-2.98B
Financing cash flow
Cash flow from continuing financing activities -139.18%-5.04B16.06%-1.58B-62.97%-1.09B-2,556.98%-2.11B-171.67%-258M-2.98%-2.11B-699.58%-1.89B-122.33%-667M102.92%86M-74.88%360M
Increase decrease in deposit -300.29%-693M-263.86%-302M-89.32%39M-509.86%-582M294.87%152M86.02%346M-15.28%-83M239.31%365M122.54%142M-106.78%-78M
Net issuance payments of debt 292.78%1.03B107.38%98M-91.82%13M-299.56%-455M14.37%1.38B112.14%263M-6,889.47%-1.33B567.65%159M112.64%228M489.64%1.2B
Net common stock issuance 19.34%-1.5B46.53%-293M24.24%-397M-2.36%-433M-3.28%-378M-3,749.02%-1.86B-9,233.33%-548M-13,200.00%-524M-14,200.00%-423M-1,063.16%-366M
Net preferred stock issuance --0--0--0--0--0-89.10%279M--0--0337.41%990M-135.87%-711M
Cash dividends paid -6.64%-2.97B-5.86%-759M-6.04%-720M-10.95%-770M-3.73%-723M-11.48%-2.79B0.00%-717M-17.07%-679M-12.66%-694M-18.74%-697M
Net other financing charges -155.02%-909M-141.57%-328M-283.33%-22M180.89%127M-168.06%-686M1,033.33%1.65B284.35%789M-97.90%12M-130.19%-157M219.86%1.01B
Cash from discontinued financing activities
Financing cash flow -139.18%-5.04B16.06%-1.58B-62.97%-1.09B-2,556.98%-2.11B-171.67%-258M-2.98%-2.11B-699.58%-1.89B-122.33%-667M102.92%86M-74.88%360M
Net cash flow
Beginning cash position -15.03%18.64B6.83%21.74B0.07%20.66B-19.39%17.39B-15.03%18.64B-14.28%21.93B-4.36%20.35B9.42%20.64B-0.50%21.57B-14.28%21.93B
Current changes in cash 142.81%1.66B6.39%-1.6B192.66%859M419.13%3.65B-1,119.42%-1.26B-16.38%-3.88B-330.09%-1.71B-144.23%-927M55.89%-1.15B97.12%-103M
Effect of exchange rate changes -170.43%-412M-2,490.00%-259M-64.98%222M-278.70%-386M104.31%11M283.39%585M88.76%-10M100.63%634M199.08%216M22.26%-255M
End cash position 6.70%19.88B6.70%19.88B6.83%21.74B0.07%20.66B-19.39%17.39B-15.03%18.64B-15.03%18.64B-4.36%20.35B9.42%20.64B-0.50%21.57B
Free cash flow 22.82%20.42B26.29%6.17B22.11%5.51B22.86%5.79B17.31%2.96B-28.19%16.63B-27.50%4.88B-33.97%4.51B-17.23%4.72B-35.26%2.52B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

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