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MFC Manulife Financial Corp

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  • 44.550
  • +0.100+0.22%
15min DelayPost Market Mar 27 16:00 ET
76.73BMarket Cap15.69P/E (TTM)

Manulife Financial Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2023
Assets
Total investments
4.92%425.38B
4.92%425.38B
7.69%415.41B
1.66%397.25B
-1.13%397.56B
4.07%405.42B
4.07%405.42B
-3.39%385.73B
0.18%390.77B
1.13%402.11B
-Fixed maturity investments
-0.72%210.62B
-0.72%210.62B
5.07%207.86B
-3.11%196.99B
-5.77%200.1B
4.08%212.15B
4.08%212.15B
-1.75%197.84B
1.79%203.32B
1.81%212.37B
-Equity investments
32.09%33.73B
32.09%33.73B
27.10%30.85B
11.55%27.97B
11.56%27.7B
8.55%25.53B
8.55%25.53B
8.71%24.27B
11.30%25.08B
-2.45%24.83B
-Net loan
3.46%56.76B
3.46%56.76B
5.31%56.37B
2.36%55.37B
0.28%54.99B
0.57%54.86B
0.57%54.86B
-16.78%53.53B
-13.75%54.09B
-10.49%54.83B
-Derivative assets
1.42%8.67B
1.42%8.67B
0.08%9.14B
4.41%8.73B
-0.48%8.37B
-0.49%8.55B
-0.49%8.55B
2.19%9.13B
-4.56%8.36B
-18.38%8.41B
-Other invested assets
10.80%115.61B
10.80%115.61B
10.13%111.19B
8.27%108.19B
4.65%106.41B
5.30%104.34B
5.30%104.34B
-1.34%100.96B
3.74%99.92B
10.48%101.68B
Cash and cash equivalents
26.80%25.79B
26.80%25.79B
3.37%22.88B
5.14%22.1B
14.41%21.48B
6.19%20.34B
6.19%20.34B
5.66%22.14B
0.01%21.02B
-14.93%18.78B
Reinsurance recoverable
38.37%59.02B
38.37%59.02B
44.10%59.28B
33.24%57.81B
17.17%54.07B
-7.02%42.65B
-7.02%42.65B
-15.92%41.14B
-5.10%43.39B
3.96%46.15B
Accrued investment income
10.87%2.97B
10.87%2.97B
-0.48%2.91B
4.62%2.65B
1.99%2.97B
1.63%2.68B
1.63%2.68B
0.31%2.92B
-4.45%2.53B
4.00%2.91B
Goodwill and other intangible assets
7.20%11.05B
7.20%11.05B
2.87%10.73B
3.84%10.71B
-0.95%10.4B
-1.99%10.31B
-1.99%10.31B
3.59%10.43B
5.21%10.31B
7.95%10.5B
-Goodwill
6.01%6.28B
6.01%6.28B
----
----
----
-1.58%5.92B
-1.58%5.92B
----
----
----
-Other intangible assets
8.79%4.78B
8.79%4.78B
----
----
----
-2.53%4.39B
-2.53%4.39B
----
----
----
Separate account assets
15.48%435.99B
15.48%435.99B
18.51%422.98B
10.96%406.11B
10.46%402.11B
8.31%377.54B
8.31%377.54B
6.46%356.91B
9.28%365.98B
-2.12%364.04B
Deferred tax assets
-12.69%5.88B
-12.69%5.88B
-8.00%6.24B
-10.81%6.12B
-4.42%6.47B
0.46%6.74B
0.46%6.74B
28.71%6.78B
25.74%6.86B
27.35%6.77B
Other assets
28.80%12.75B
28.80%12.75B
24.21%12.21B
19.95%12.54B
11.88%12.16B
-7.20%9.9B
-7.20%9.9B
-8.80%9.83B
8.76%10.45B
9.15%10.87B
Total assets
11.79%978.82B
11.79%978.82B
13.97%952.63B
7.51%915.27B
5.23%907.22B
5.02%875.57B
5.02%875.57B
0.14%835.87B
3.75%851.31B
-0.35%862.12B
Liabilities
Policy holders liabilities reserve
7.41%418.46B
7.41%418.46B
13.13%413.29B
3.19%392.47B
0.81%392.81B
3.25%389.61B
3.25%389.61B
-6.65%365.32B
-0.15%380.36B
-0.24%389.67B
Short term debt and capital lease obligation
--0
--0
--0
--0
--0
-3.41%594M
-3.41%594M
--610M
----
----
-Current debt
--0
--0
--0
--0
--0
-3.41%594M
-3.41%594M
--610M
----
----
Derivative product liabilities
21.50%14.25B
21.50%14.25B
-33.12%11.54B
16.51%14.25B
13.35%13.47B
-17.91%11.73B
-17.91%11.73B
16.46%17.25B
-12.58%12.23B
18.35%11.88B
Long term debt and capital lease obligation
16.61%14.16B
16.61%14.16B
7.36%13.22B
9.93%14.02B
-0.86%13.43B
3.43%12.14B
3.43%12.14B
-8.35%12.32B
-1.39%12.75B
6.70%13.55B
-Long term debt
16.61%14.16B
16.61%14.16B
7.36%13.22B
9.93%14.02B
-0.86%13.43B
3.43%12.14B
3.43%12.14B
-8.35%12.32B
-1.39%12.75B
6.70%13.55B
Separate account liability
15.48%435.99B
15.48%435.99B
18.51%422.98B
10.96%406.11B
224.17%402.11B
8.31%377.54B
8.31%377.54B
5.44%356.91B
8.26%365.98B
-66.92%124.04B
Non current deferred liabilities
11.37%1.89B
11.37%1.89B
20.31%2.04B
11.56%1.8B
10.32%1.82B
10.48%1.7B
10.48%1.7B
-38.71%1.69B
-39.19%1.61B
-46.09%1.65B
Other liabilities
22.60%41.1B
22.60%41.1B
15.85%37.93B
14.89%35.87B
-87.64%33.7B
6.89%33.53B
6.89%33.53B
86.49%32.74B
93.12%31.22B
1,517.28%272.59B
Total liabilities
11.97%925.86B
11.97%925.86B
14.51%900.99B
7.51%864.52B
5.40%857.33B
5.27%826.85B
5.27%826.85B
1.08%786.84B
5.16%804.16B
0.63%813.37B
Shareholders'equity
Share capital
-3.00%27.34B
-3.00%27.34B
-2.22%27.68B
-1.76%27.97B
-1.83%28.15B
-2.26%28.19B
-2.26%28.19B
-2.79%28.3B
-3.09%28.48B
0.24%28.67B
-common stock
-3.93%20.68B
-3.93%20.68B
-2.90%21.02B
-2.30%21.31B
-2.38%21.49B
-2.94%21.53B
-2.94%21.53B
-3.61%21.64B
-4.00%21.82B
-4.02%22.01B
-Preferred stock
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
0.00%6.66B
17.46%6.66B
Additional paid-in capital
-8.11%204M
-8.11%204M
-9.17%208M
-9.87%210M
-7.66%217M
-6.72%222M
-6.72%222M
-12.60%229M
-11.07%233M
-10.31%235M
Retained earnings
-1.14%4.76B
-1.14%4.76B
21.38%4.97B
13.58%4.57B
19.21%4.78B
22.09%4.82B
22.09%4.82B
-84.33%4.1B
-84.35%4.03B
-84.31%4.01B
Gains losses not affecting retained earnings
35.13%18.66B
35.13%18.66B
13.11%16.72B
24.95%16.21B
4.47%15.11B
-0.30%13.81B
-0.30%13.81B
2,582.21%14.78B
10,986.32%12.97B
611.21%14.46B
Other equity interest
120.62%567M
120.62%567M
203.61%504M
2,329.41%379M
332.59%314M
433.77%257M
433.77%257M
111.64%166M
98.78%-17M
89.79%-135M
Total stockholders equity
8.97%51.54B
8.97%51.54B
5.26%50.08B
8.00%49.34B
2.80%48.56B
1.06%47.3B
1.06%47.3B
-12.95%47.57B
-15.55%45.69B
-14.32%47.24B
Noncontrolling interests
-0.70%1.42B
-0.70%1.42B
6.84%1.56B
-3.68%1.41B
-12.11%1.33B
0.28%1.43B
0.28%1.43B
-11.66%1.46B
-13.56%1.47B
-11.84%1.51B
Total equity
8.69%52.96B
8.69%52.96B
5.31%51.64B
7.63%50.76B
2.34%49.89B
1.04%48.73B
1.04%48.73B
-12.91%49.04B
-15.49%47.16B
-14.24%48.75B
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)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(Q1)Mar 31, 2023
Assets
Total investments 4.92%425.38B4.92%425.38B7.69%415.41B1.66%397.25B-1.13%397.56B4.07%405.42B4.07%405.42B-3.39%385.73B0.18%390.77B1.13%402.11B
-Fixed maturity investments -0.72%210.62B-0.72%210.62B5.07%207.86B-3.11%196.99B-5.77%200.1B4.08%212.15B4.08%212.15B-1.75%197.84B1.79%203.32B1.81%212.37B
-Equity investments 32.09%33.73B32.09%33.73B27.10%30.85B11.55%27.97B11.56%27.7B8.55%25.53B8.55%25.53B8.71%24.27B11.30%25.08B-2.45%24.83B
-Net loan 3.46%56.76B3.46%56.76B5.31%56.37B2.36%55.37B0.28%54.99B0.57%54.86B0.57%54.86B-16.78%53.53B-13.75%54.09B-10.49%54.83B
-Derivative assets 1.42%8.67B1.42%8.67B0.08%9.14B4.41%8.73B-0.48%8.37B-0.49%8.55B-0.49%8.55B2.19%9.13B-4.56%8.36B-18.38%8.41B
-Other invested assets 10.80%115.61B10.80%115.61B10.13%111.19B8.27%108.19B4.65%106.41B5.30%104.34B5.30%104.34B-1.34%100.96B3.74%99.92B10.48%101.68B
Cash and cash equivalents 26.80%25.79B26.80%25.79B3.37%22.88B5.14%22.1B14.41%21.48B6.19%20.34B6.19%20.34B5.66%22.14B0.01%21.02B-14.93%18.78B
Reinsurance recoverable 38.37%59.02B38.37%59.02B44.10%59.28B33.24%57.81B17.17%54.07B-7.02%42.65B-7.02%42.65B-15.92%41.14B-5.10%43.39B3.96%46.15B
Accrued investment income 10.87%2.97B10.87%2.97B-0.48%2.91B4.62%2.65B1.99%2.97B1.63%2.68B1.63%2.68B0.31%2.92B-4.45%2.53B4.00%2.91B
Goodwill and other intangible assets 7.20%11.05B7.20%11.05B2.87%10.73B3.84%10.71B-0.95%10.4B-1.99%10.31B-1.99%10.31B3.59%10.43B5.21%10.31B7.95%10.5B
-Goodwill 6.01%6.28B6.01%6.28B-------------1.58%5.92B-1.58%5.92B------------
-Other intangible assets 8.79%4.78B8.79%4.78B-------------2.53%4.39B-2.53%4.39B------------
Separate account assets 15.48%435.99B15.48%435.99B18.51%422.98B10.96%406.11B10.46%402.11B8.31%377.54B8.31%377.54B6.46%356.91B9.28%365.98B-2.12%364.04B
Deferred tax assets -12.69%5.88B-12.69%5.88B-8.00%6.24B-10.81%6.12B-4.42%6.47B0.46%6.74B0.46%6.74B28.71%6.78B25.74%6.86B27.35%6.77B
Other assets 28.80%12.75B28.80%12.75B24.21%12.21B19.95%12.54B11.88%12.16B-7.20%9.9B-7.20%9.9B-8.80%9.83B8.76%10.45B9.15%10.87B
Total assets 11.79%978.82B11.79%978.82B13.97%952.63B7.51%915.27B5.23%907.22B5.02%875.57B5.02%875.57B0.14%835.87B3.75%851.31B-0.35%862.12B
Liabilities
Policy holders liabilities reserve 7.41%418.46B7.41%418.46B13.13%413.29B3.19%392.47B0.81%392.81B3.25%389.61B3.25%389.61B-6.65%365.32B-0.15%380.36B-0.24%389.67B
Short term debt and capital lease obligation --0--0--0--0--0-3.41%594M-3.41%594M--610M--------
-Current debt --0--0--0--0--0-3.41%594M-3.41%594M--610M--------
Derivative product liabilities 21.50%14.25B21.50%14.25B-33.12%11.54B16.51%14.25B13.35%13.47B-17.91%11.73B-17.91%11.73B16.46%17.25B-12.58%12.23B18.35%11.88B
Long term debt and capital lease obligation 16.61%14.16B16.61%14.16B7.36%13.22B9.93%14.02B-0.86%13.43B3.43%12.14B3.43%12.14B-8.35%12.32B-1.39%12.75B6.70%13.55B
-Long term debt 16.61%14.16B16.61%14.16B7.36%13.22B9.93%14.02B-0.86%13.43B3.43%12.14B3.43%12.14B-8.35%12.32B-1.39%12.75B6.70%13.55B
Separate account liability 15.48%435.99B15.48%435.99B18.51%422.98B10.96%406.11B224.17%402.11B8.31%377.54B8.31%377.54B5.44%356.91B8.26%365.98B-66.92%124.04B
Non current deferred liabilities 11.37%1.89B11.37%1.89B20.31%2.04B11.56%1.8B10.32%1.82B10.48%1.7B10.48%1.7B-38.71%1.69B-39.19%1.61B-46.09%1.65B
Other liabilities 22.60%41.1B22.60%41.1B15.85%37.93B14.89%35.87B-87.64%33.7B6.89%33.53B6.89%33.53B86.49%32.74B93.12%31.22B1,517.28%272.59B
Total liabilities 11.97%925.86B11.97%925.86B14.51%900.99B7.51%864.52B5.40%857.33B5.27%826.85B5.27%826.85B1.08%786.84B5.16%804.16B0.63%813.37B
Shareholders'equity
Share capital -3.00%27.34B-3.00%27.34B-2.22%27.68B-1.76%27.97B-1.83%28.15B-2.26%28.19B-2.26%28.19B-2.79%28.3B-3.09%28.48B0.24%28.67B
-common stock -3.93%20.68B-3.93%20.68B-2.90%21.02B-2.30%21.31B-2.38%21.49B-2.94%21.53B-2.94%21.53B-3.61%21.64B-4.00%21.82B-4.02%22.01B
-Preferred stock 0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B0.00%6.66B17.46%6.66B
Additional paid-in capital -8.11%204M-8.11%204M-9.17%208M-9.87%210M-7.66%217M-6.72%222M-6.72%222M-12.60%229M-11.07%233M-10.31%235M
Retained earnings -1.14%4.76B-1.14%4.76B21.38%4.97B13.58%4.57B19.21%4.78B22.09%4.82B22.09%4.82B-84.33%4.1B-84.35%4.03B-84.31%4.01B
Gains losses not affecting retained earnings 35.13%18.66B35.13%18.66B13.11%16.72B24.95%16.21B4.47%15.11B-0.30%13.81B-0.30%13.81B2,582.21%14.78B10,986.32%12.97B611.21%14.46B
Other equity interest 120.62%567M120.62%567M203.61%504M2,329.41%379M332.59%314M433.77%257M433.77%257M111.64%166M98.78%-17M89.79%-135M
Total stockholders equity 8.97%51.54B8.97%51.54B5.26%50.08B8.00%49.34B2.80%48.56B1.06%47.3B1.06%47.3B-12.95%47.57B-15.55%45.69B-14.32%47.24B
Noncontrolling interests -0.70%1.42B-0.70%1.42B6.84%1.56B-3.68%1.41B-12.11%1.33B0.28%1.43B0.28%1.43B-11.66%1.46B-13.56%1.47B-11.84%1.51B
Total equity 8.69%52.96B8.69%52.96B5.31%51.64B7.63%50.76B2.34%49.89B1.04%48.73B1.04%48.73B-12.91%49.04B-15.49%47.16B-14.24%48.75B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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.

Market Insights
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Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.