MY Stock MarketDetailed Quotes

1058 MANULFE

Watchlist
  • 2.280
  • +0.020+0.88%
15min DelayMarket Closed Jun 28 16:57 CST
500.39MMarket Cap5.40P/E (TTM)

MANULFE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Financial asset investment
11.60%1.74B
7.00%4.43B
7.00%4.43B
-49.75%1.48B
-46.33%1.6B
-45.65%1.55B
4.91%4.14B
4.91%4.14B
1.35%2.95B
5.98%2.98B
-Available-for-sale securities
46.21%481.33M
10.45%3.22B
10.45%3.22B
-51.93%293.57M
-43.10%428.14M
-38.14%329.2M
9.81%2.92B
9.81%2.92B
-1.39%610.76M
11.64%752.49M
-Total financial assets designated as fair value through profit or loss
2.45%1.25B
-1.17%1.21B
-1.17%1.21B
-49.29%1.19B
-47.42%1.17B
-47.44%1.22B
-5.35%1.22B
-5.35%1.22B
2.09%2.34B
4.20%2.23B
-Financial assets
----
-38.18%1.15M
-38.18%1.15M
--2.47M
----
--1.71M
--1.87M
--1.87M
----
----
Cash, cash equivalents and short term investments
7.41%3.72B
17.87%472.84M
17.87%472.84M
10.12%3.6B
8.45%3.53B
-0.13%3.47B
-7.13%401.16M
-7.13%401.16M
-3.71%3.27B
-5.14%3.26B
-Cash and cash equivalents
11.94%211.61M
-15.11%207.88M
-15.11%207.88M
2.59%288.66M
-23.74%207.12M
-29.57%189.04M
11.65%244.88M
11.65%244.88M
29.17%281.37M
23.29%271.58M
-Short-term investments
7.15%3.51B
69.54%264.96M
69.54%264.96M
10.83%3.31B
11.37%3.33B
2.34%3.28B
-26.50%156.28M
-26.50%156.28M
-5.96%2.99B
-7.09%2.99B
Net loan
----
0.42%27.78M
0.42%27.78M
----
----
----
17.94%27.67M
17.94%27.67M
----
----
Reinsurance assets
53.32%992K
-3.81%303K
-3.81%303K
--0
-99.11%98K
-95.91%647K
-92.98%315K
-92.98%315K
-45.92%11.47M
-44.44%11.05M
Insurance contract assets
16.19%1.55B
6.18%1.41B
6.18%1.41B
--1.38B
--1.32B
--1.34B
-5.42%1.32B
-5.42%1.32B
----
----
Receivables
-1.06%66.02M
19.58%75.71M
19.58%75.71M
152.50%76.64M
135.38%73.38M
117.83%66.73M
-12.25%63.32M
-12.25%63.32M
-7.24%30.35M
-3.69%31.18M
-Accounts receivable
----
----
----
----
----
----
----
----
-22.50%7.43M
-10.65%8.25M
-Other receivables
5.45%46.38M
32.52%48.11M
32.52%48.11M
--45.47M
--42.03M
--43.98M
-22.43%36.31M
-22.43%36.31M
----
----
-Recievables adjustments allowances
----
0.00%-1.08M
0.00%-1.08M
----
----
----
0.00%-1.08M
0.00%-1.08M
----
----
-Taxes receivable
-13.66%19.64M
2.11%28.68M
2.11%28.68M
35.96%31.17M
36.73%31.35M
-0.38%22.75M
6.27%28.09M
6.27%28.09M
-0.91%22.93M
-0.91%22.93M
Deposits made under assumed reinsurance contract
----
-5.62%324.06M
-5.62%324.06M
----
----
----
2.12%343.37M
2.12%343.37M
----
----
Net PPE
-0.46%38.91M
0.21%39.65M
0.21%39.65M
-9.12%38.42M
-4.14%39.31M
-6.13%39.09M
-6.30%39.56M
-6.30%39.56M
-2.19%42.27M
-8.04%41.01M
-Gross PP&E
-0.46%38.91M
1.86%73.99M
1.86%73.99M
-9.12%38.42M
-4.14%39.31M
-6.13%39.09M
-0.14%72.64M
-0.14%72.64M
-2.19%42.27M
-8.04%41.01M
-Accum depreciation
----
-3.82%-34.34M
-3.82%-34.34M
----
----
----
-8.38%-33.08M
-8.38%-33.08M
----
----
Investment properties
4.31%82.3M
4.31%82.3M
4.31%82.3M
7.23%78.9M
7.23%78.9M
7.23%78.9M
7.23%78.9M
7.23%78.9M
-5.64%73.58M
-5.64%73.58M
Goodwill and other intangible assets
80.25%230.17M
83.02%231.05M
83.02%231.05M
84.73%232.78M
1.34%127.86M
0.86%127.69M
-1.37%126.24M
-1.37%126.24M
-2.86%126.01M
-4.23%126.17M
-Other intangible assets
80.25%230.17M
83.02%231.05M
83.02%231.05M
84.73%232.78M
1.34%127.86M
0.86%127.69M
-1.37%126.24M
-1.37%126.24M
-2.86%126.01M
-4.23%126.17M
Deferred tax assets-Non current
----
----
----
----
----
----
----
----
17,091.67%18.57M
13,273.15%14.44M
Other assets
12.67%14.89M
27.59%14.87M
27.59%14.87M
--17.47M
--14.27M
--13.21M
16.07%11.66M
16.07%11.66M
----
----
Total assets
11.38%7.44B
8.36%7.1B
8.36%7.1B
5.94%6.91B
3.79%6.79B
0.94%6.68B
1.36%6.56B
1.36%6.56B
-1.35%6.53B
-0.27%6.54B
Liabilities
Financial or other derivative investment liabilities
----
-7.21%1.51M
-7.21%1.51M
----
----
----
--1.62M
--1.62M
----
----
-Current debt and capital lease obligation
----
-7.21%1.51M
-7.21%1.51M
----
----
----
--1.62M
--1.62M
----
----
-Including:Current capital Lease obligation
----
-7.21%1.51M
-7.21%1.51M
----
----
----
--1.62M
--1.62M
----
----
Insurance contract liabilities
9.36%4B
9.12%4B
9.12%4B
18.92%3.79B
17.54%3.73B
12.86%3.65B
3.90%3.67B
3.90%3.67B
-2.17%3.18B
-1.28%3.17B
Reinsurance payable balance
-33.54%30.31M
-36.14%35.11M
-36.14%35.11M
--31.9M
4,377.79%33.67M
4,332.85%45.61M
-31.25%54.98M
-31.25%54.98M
--0
-78.52%752K
Investment contract liabilities
----
----
----
----
----
----
----
----
-10.06%1.25B
-7.28%1.27B
Payables
--208K
-5.75%96.55M
-5.75%96.55M
-99.99%62K
----
----
-1.25%102.44M
-1.25%102.44M
12.73%1.1B
13.12%1.14B
-Accounts payable
----
----
----
----
----
----
----
----
9.45%799.16M
9.30%778.48M
-Total tax payable
--208K
--106K
--106K
-99.13%62K
----
----
--0
--0
-58.17%7.09M
-88.81%2.61M
-Other payable
----
-5.85%96.44M
-5.85%96.44M
----
----
----
-0.33%102.44M
-0.33%102.44M
28.29%296.3M
31.55%363.55M
Non-current financial liabilities
2.96%3.37M
-35.67%1.21M
-35.67%1.21M
14.24%5.06M
229.70%5.45M
91.46%3.27M
-1.52%1.88M
-1.52%1.88M
143.19%4.43M
-37.10%1.65M
-Derivative product liabilities
----
----
----
----
----
----
----
----
--2.59M
----
-Long term debt and capital lease obligation
-20.26%2.61M
-35.67%1.21M
-35.67%1.21M
40.89%2.59M
101.62%3.12M
91.46%3.27M
-1.52%1.88M
-1.52%1.88M
0.93%1.84M
-31.47%1.55M
-Including:Long term capital lease obligation
-20.26%2.61M
-35.67%1.21M
-35.67%1.21M
40.89%2.59M
101.62%3.12M
91.46%3.27M
-1.52%1.88M
-1.52%1.88M
0.93%1.84M
-31.47%1.55M
Non current accrued and deferred income
----
45.44%190.05M
45.44%190.05M
----
----
----
17.40%130.67M
17.40%130.67M
----
----
-Non current accrued expenses
----
45.44%190.05M
45.44%190.05M
----
----
----
17.40%130.67M
17.40%130.67M
----
----
Non current deferred liabilities
30.18%124.7M
14.70%120.12M
14.70%120.12M
218.33%114.27M
181.22%100.5M
139.42%95.79M
-3.34%104.72M
-3.34%104.72M
-17.04%35.9M
-17.78%35.74M
Other liabilities
19.43%2.01B
6.18%1.41B
6.18%1.41B
--1.77B
--1.7B
--1.68B
-5.22%1.32B
-5.22%1.32B
----
----
Total liabilities
12.46%6.16B
8.62%5.85B
8.62%5.85B
2.23%5.71B
-0.91%5.57B
-3.38%5.48B
1.04%5.39B
1.04%5.39B
-1.65%5.58B
-0.35%5.62B
Shareholders'equity
Share capital
4.18%136.52M
4.18%136.52M
4.18%136.52M
4.18%136.52M
7.98%131.04M
7.98%131.04M
7.98%131.04M
7.98%131.04M
7.98%131.04M
8.38%121.35M
-common stock
4.18%136.52M
4.18%136.52M
4.18%136.52M
4.18%136.52M
7.98%131.04M
7.98%131.04M
7.98%131.04M
7.98%131.04M
7.98%131.04M
8.38%121.35M
Retained earnings
8.48%1.14B
6.93%1.11B
6.93%1.11B
29.57%1.07B
31.30%1.05B
28.61%1.05B
1.93%1.04B
1.93%1.04B
3.73%824.5M
3.43%800.67M
Fixed asset revaluation reserve
----
----
----
-2.40%6.45M
-2.40%6.45M
----
----
----
-4.12%6.61M
-4.12%6.61M
Other reserves
-4.20%29.28M
98.53%26.92M
98.53%26.92M
185.35%16.06M
303.01%31.03M
550.70%30.56M
5.12%13.56M
5.12%13.56M
-216.62%-18.82M
-184.43%-15.28M
Total stockholders'equity
7.69%1.3B
7.68%1.27B
7.68%1.27B
30.11%1.23B
33.55%1.22B
27.66%1.21B
2.60%1.18B
2.60%1.18B
0.44%943.33M
0.25%913.36M
Noncontrolling interests
-189.27%-23.45M
-51.82%-21.16M
-51.82%-21.16M
---20.52M
---7.25M
---8.11M
12.92%-13.94M
12.92%-13.94M
----
----
Total equity
6.46%1.28B
7.15%1.25B
7.15%1.25B
27.94%1.21B
32.76%1.21B
26.80%1.2B
2.82%1.17B
2.82%1.17B
0.44%943.33M
0.25%913.36M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Financial asset investment 11.60%1.74B7.00%4.43B7.00%4.43B-49.75%1.48B-46.33%1.6B-45.65%1.55B4.91%4.14B4.91%4.14B1.35%2.95B5.98%2.98B
-Available-for-sale securities 46.21%481.33M10.45%3.22B10.45%3.22B-51.93%293.57M-43.10%428.14M-38.14%329.2M9.81%2.92B9.81%2.92B-1.39%610.76M11.64%752.49M
-Total financial assets designated as fair value through profit or loss 2.45%1.25B-1.17%1.21B-1.17%1.21B-49.29%1.19B-47.42%1.17B-47.44%1.22B-5.35%1.22B-5.35%1.22B2.09%2.34B4.20%2.23B
-Financial assets -----38.18%1.15M-38.18%1.15M--2.47M------1.71M--1.87M--1.87M--------
Cash, cash equivalents and short term investments 7.41%3.72B17.87%472.84M17.87%472.84M10.12%3.6B8.45%3.53B-0.13%3.47B-7.13%401.16M-7.13%401.16M-3.71%3.27B-5.14%3.26B
-Cash and cash equivalents 11.94%211.61M-15.11%207.88M-15.11%207.88M2.59%288.66M-23.74%207.12M-29.57%189.04M11.65%244.88M11.65%244.88M29.17%281.37M23.29%271.58M
-Short-term investments 7.15%3.51B69.54%264.96M69.54%264.96M10.83%3.31B11.37%3.33B2.34%3.28B-26.50%156.28M-26.50%156.28M-5.96%2.99B-7.09%2.99B
Net loan ----0.42%27.78M0.42%27.78M------------17.94%27.67M17.94%27.67M--------
Reinsurance assets 53.32%992K-3.81%303K-3.81%303K--0-99.11%98K-95.91%647K-92.98%315K-92.98%315K-45.92%11.47M-44.44%11.05M
Insurance contract assets 16.19%1.55B6.18%1.41B6.18%1.41B--1.38B--1.32B--1.34B-5.42%1.32B-5.42%1.32B--------
Receivables -1.06%66.02M19.58%75.71M19.58%75.71M152.50%76.64M135.38%73.38M117.83%66.73M-12.25%63.32M-12.25%63.32M-7.24%30.35M-3.69%31.18M
-Accounts receivable ---------------------------------22.50%7.43M-10.65%8.25M
-Other receivables 5.45%46.38M32.52%48.11M32.52%48.11M--45.47M--42.03M--43.98M-22.43%36.31M-22.43%36.31M--------
-Recievables adjustments allowances ----0.00%-1.08M0.00%-1.08M------------0.00%-1.08M0.00%-1.08M--------
-Taxes receivable -13.66%19.64M2.11%28.68M2.11%28.68M35.96%31.17M36.73%31.35M-0.38%22.75M6.27%28.09M6.27%28.09M-0.91%22.93M-0.91%22.93M
Deposits made under assumed reinsurance contract -----5.62%324.06M-5.62%324.06M------------2.12%343.37M2.12%343.37M--------
Net PPE -0.46%38.91M0.21%39.65M0.21%39.65M-9.12%38.42M-4.14%39.31M-6.13%39.09M-6.30%39.56M-6.30%39.56M-2.19%42.27M-8.04%41.01M
-Gross PP&E -0.46%38.91M1.86%73.99M1.86%73.99M-9.12%38.42M-4.14%39.31M-6.13%39.09M-0.14%72.64M-0.14%72.64M-2.19%42.27M-8.04%41.01M
-Accum depreciation -----3.82%-34.34M-3.82%-34.34M-------------8.38%-33.08M-8.38%-33.08M--------
Investment properties 4.31%82.3M4.31%82.3M4.31%82.3M7.23%78.9M7.23%78.9M7.23%78.9M7.23%78.9M7.23%78.9M-5.64%73.58M-5.64%73.58M
Goodwill and other intangible assets 80.25%230.17M83.02%231.05M83.02%231.05M84.73%232.78M1.34%127.86M0.86%127.69M-1.37%126.24M-1.37%126.24M-2.86%126.01M-4.23%126.17M
-Other intangible assets 80.25%230.17M83.02%231.05M83.02%231.05M84.73%232.78M1.34%127.86M0.86%127.69M-1.37%126.24M-1.37%126.24M-2.86%126.01M-4.23%126.17M
Deferred tax assets-Non current --------------------------------17,091.67%18.57M13,273.15%14.44M
Other assets 12.67%14.89M27.59%14.87M27.59%14.87M--17.47M--14.27M--13.21M16.07%11.66M16.07%11.66M--------
Total assets 11.38%7.44B8.36%7.1B8.36%7.1B5.94%6.91B3.79%6.79B0.94%6.68B1.36%6.56B1.36%6.56B-1.35%6.53B-0.27%6.54B
Liabilities
Financial or other derivative investment liabilities -----7.21%1.51M-7.21%1.51M--------------1.62M--1.62M--------
-Current debt and capital lease obligation -----7.21%1.51M-7.21%1.51M--------------1.62M--1.62M--------
-Including:Current capital Lease obligation -----7.21%1.51M-7.21%1.51M--------------1.62M--1.62M--------
Insurance contract liabilities 9.36%4B9.12%4B9.12%4B18.92%3.79B17.54%3.73B12.86%3.65B3.90%3.67B3.90%3.67B-2.17%3.18B-1.28%3.17B
Reinsurance payable balance -33.54%30.31M-36.14%35.11M-36.14%35.11M--31.9M4,377.79%33.67M4,332.85%45.61M-31.25%54.98M-31.25%54.98M--0-78.52%752K
Investment contract liabilities ---------------------------------10.06%1.25B-7.28%1.27B
Payables --208K-5.75%96.55M-5.75%96.55M-99.99%62K---------1.25%102.44M-1.25%102.44M12.73%1.1B13.12%1.14B
-Accounts payable --------------------------------9.45%799.16M9.30%778.48M
-Total tax payable --208K--106K--106K-99.13%62K----------0--0-58.17%7.09M-88.81%2.61M
-Other payable -----5.85%96.44M-5.85%96.44M-------------0.33%102.44M-0.33%102.44M28.29%296.3M31.55%363.55M
Non-current financial liabilities 2.96%3.37M-35.67%1.21M-35.67%1.21M14.24%5.06M229.70%5.45M91.46%3.27M-1.52%1.88M-1.52%1.88M143.19%4.43M-37.10%1.65M
-Derivative product liabilities ----------------------------------2.59M----
-Long term debt and capital lease obligation -20.26%2.61M-35.67%1.21M-35.67%1.21M40.89%2.59M101.62%3.12M91.46%3.27M-1.52%1.88M-1.52%1.88M0.93%1.84M-31.47%1.55M
-Including:Long term capital lease obligation -20.26%2.61M-35.67%1.21M-35.67%1.21M40.89%2.59M101.62%3.12M91.46%3.27M-1.52%1.88M-1.52%1.88M0.93%1.84M-31.47%1.55M
Non current accrued and deferred income ----45.44%190.05M45.44%190.05M------------17.40%130.67M17.40%130.67M--------
-Non current accrued expenses ----45.44%190.05M45.44%190.05M------------17.40%130.67M17.40%130.67M--------
Non current deferred liabilities 30.18%124.7M14.70%120.12M14.70%120.12M218.33%114.27M181.22%100.5M139.42%95.79M-3.34%104.72M-3.34%104.72M-17.04%35.9M-17.78%35.74M
Other liabilities 19.43%2.01B6.18%1.41B6.18%1.41B--1.77B--1.7B--1.68B-5.22%1.32B-5.22%1.32B--------
Total liabilities 12.46%6.16B8.62%5.85B8.62%5.85B2.23%5.71B-0.91%5.57B-3.38%5.48B1.04%5.39B1.04%5.39B-1.65%5.58B-0.35%5.62B
Shareholders'equity
Share capital 4.18%136.52M4.18%136.52M4.18%136.52M4.18%136.52M7.98%131.04M7.98%131.04M7.98%131.04M7.98%131.04M7.98%131.04M8.38%121.35M
-common stock 4.18%136.52M4.18%136.52M4.18%136.52M4.18%136.52M7.98%131.04M7.98%131.04M7.98%131.04M7.98%131.04M7.98%131.04M8.38%121.35M
Retained earnings 8.48%1.14B6.93%1.11B6.93%1.11B29.57%1.07B31.30%1.05B28.61%1.05B1.93%1.04B1.93%1.04B3.73%824.5M3.43%800.67M
Fixed asset revaluation reserve -------------2.40%6.45M-2.40%6.45M-------------4.12%6.61M-4.12%6.61M
Other reserves -4.20%29.28M98.53%26.92M98.53%26.92M185.35%16.06M303.01%31.03M550.70%30.56M5.12%13.56M5.12%13.56M-216.62%-18.82M-184.43%-15.28M
Total stockholders'equity 7.69%1.3B7.68%1.27B7.68%1.27B30.11%1.23B33.55%1.22B27.66%1.21B2.60%1.18B2.60%1.18B0.44%943.33M0.25%913.36M
Noncontrolling interests -189.27%-23.45M-51.82%-21.16M-51.82%-21.16M---20.52M---7.25M---8.11M12.92%-13.94M12.92%-13.94M--------
Total equity 6.46%1.28B7.15%1.25B7.15%1.25B27.94%1.21B32.76%1.21B26.80%1.2B2.82%1.17B2.82%1.17B0.44%943.33M0.25%913.36M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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