US Stock MarketDetailed Quotes

MFC Manulife Financial

Watchlist
  • 26.390
  • +0.240+0.92%
Close May 16 16:00 ET
  • 26.390
  • 0.0000.00%
Post 16:37 ET
47.39BMarket Cap15.42P/E (TTM)

Manulife Financial 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
54.86%4.58B
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
Net income from continuing operations
-31.06%972M
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
Operating gains losses
116.05%299M
-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
Deferred tax
-98.29%2M
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
Other non cash items
--118M
----
----
----
----
----
---2.45B
---158M
--39M
--0
Change in working capital
3.39%3.69B
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
-Change in loss and loss adjustment expense reserves
-82.15%1.12B
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
-Change in reinsurance recoverable on paid and unpaid losses
-188.76%-316M
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
-Change in other working capital
195.48%2.89B
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
Cash from discontinued operating activities
Operating cash flow
54.86%4.58B
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
Investing cash flow
Cash flow from continuing investing activities
11.36%-3.5B
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
Net proceeds payment for loan
-63.65%-36.47B
24.68%-84.02B
-2.26%-24.39B
23.05%-20.03B
37.85%-17.32B
34.09%-22.29B
7.78%-111.56B
24.90%-23.85B
0.58%-26.03B
6.48%-27.86B
Net business purchase and sale
----
99.45%-1M
--0
--0
----
----
-857.89%-182M
-1,113.33%-182M
--0
----
Net other investing changes
79.83%32.97B
-24.68%70.3B
-5.80%18.21B
-22.53%16.47B
-21.11%17.29B
-40.54%18.33B
-3.32%93.34B
-25.69%19.33B
-2.24%21.26B
-10.34%21.92B
Cash from discontinued investing activities
Investing cash flow
11.36%-3.5B
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
Financing cash flow
Cash flow from continuing financing activities
24.42%-195M
-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
Increase decrease in deposit
-153.29%-81M
-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
Net issuance payments of debt
-57.44%586M
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
Net common stock issuance
55.56%-168M
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
Net preferred stock issuance
----
--0
--0
--0
----
----
-89.10%279M
--0
--0
337.41%990M
Cash dividends paid
-7.47%-777M
-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
Net other financing charges
135.71%245M
-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
Cash from discontinued financing activities
Financing cash flow
24.42%-195M
-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
Net cash flow
Beginning cash position
6.70%19.88B
-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
Current changes in cash
169.82%877M
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
Effect of exchange rate changes
2,300.00%264M
-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
End cash position
20.90%21.03B
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
Free cash flow
54.86%4.58B
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
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
--
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 54.86%4.58B22.82%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
Net income from continuing operations -31.06%972M383.32%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
Operating gains losses 116.05%299M-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
Deferred tax -98.29%2M123.57%470M205.02%565M-192.05%-220M100.81%8M116.46%117M-1,470.08%-1.99B-47.80%-538M8.64%239M-288.15%-984M
Other non cash items --118M-----------------------2.45B---158M--39M--0
Change in working capital 3.39%3.69B69.15%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%980M
-Change in loss and loss adjustment expense reserves -82.15%1.12B105.58%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%875M
-Change in reinsurance recoverable on paid and unpaid losses -188.76%-316M37.18%974M-116.31%-53M136.65%140M357.77%531M-63.41%356M-5.84%710M87.86%325M-4,144.44%-382M-147.69%-206M
-Change in other working capital 195.48%2.89B33.95%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%311M
Cash from discontinued operating activities
Operating cash flow 54.86%4.58B22.82%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
Investing cash flow
Cash flow from continuing investing activities 11.36%-3.5B25.43%-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%-5.95B
Net proceeds payment for loan -63.65%-36.47B24.68%-84.02B-2.26%-24.39B23.05%-20.03B37.85%-17.32B34.09%-22.29B7.78%-111.56B24.90%-23.85B0.58%-26.03B6.48%-27.86B
Net business purchase and sale ----99.45%-1M--0--0---------857.89%-182M-1,113.33%-182M--0----
Net other investing changes 79.83%32.97B-24.68%70.3B-5.80%18.21B-22.53%16.47B-21.11%17.29B-40.54%18.33B-3.32%93.34B-25.69%19.33B-2.24%21.26B-10.34%21.92B
Cash from discontinued investing activities
Investing cash flow 11.36%-3.5B25.43%-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%-5.95B
Financing cash flow
Cash flow from continuing financing activities 24.42%-195M-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
Increase decrease in deposit -153.29%-81M-300.29%-693M-263.86%-302M-89.32%39M-509.86%-582M294.87%152M86.02%346M-15.28%-83M239.31%365M122.54%142M
Net issuance payments of debt -57.44%586M292.78%1.03B107.38%98M-91.82%13M-299.56%-455M14.37%1.38B112.14%263M-6,889.47%-1.33B567.65%159M112.64%228M
Net common stock issuance 55.56%-168M19.34%-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
Net preferred stock issuance ------0--0--0---------89.10%279M--0--0337.41%990M
Cash dividends paid -7.47%-777M-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
Net other financing charges 135.71%245M-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%-157M
Cash from discontinued financing activities
Financing cash flow 24.42%-195M-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
Net cash flow
Beginning cash position 6.70%19.88B-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
Current changes in cash 169.82%877M142.81%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%-1.15B
Effect of exchange rate changes 2,300.00%264M-170.43%-412M-2,490.00%-259M-64.98%222M-278.70%-386M104.31%11M283.39%585M88.76%-10M100.63%634M199.08%216M
End cash position 20.90%21.03B6.70%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
Free cash flow 54.86%4.58B22.82%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
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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