US Stock MarketDetailed Quotes

SLF Sun Life Financial

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  • 47.570
  • +0.090+0.19%
Close Jun 14 16:00 ET
  • 47.570
  • 0.0000.00%
Post 17:31 ET
27.58BMarket Cap12.35P/E (TTM)

Sun Life 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
-12,535.00%-2.49B
30.18%5.61B
272.32%3.4B
0.80%1.9B
-85.43%289M
104.25%20M
332.15%4.31B
145.70%914M
112.99%1.89B
631.73%1.98B
Net income from continuing operations
9.32%1.2B
8.38%3.93B
-30.54%787M
413.48%1.18B
-34.47%867M
16.49%1.1B
-28.86%3.63B
-11.14%1.13B
-81.80%230M
8.27%1.32B
Operating gains losses
179.53%2.51B
-117.52%-4.66B
-1,783.70%-9.29B
83.79%6.57B
-88.48%1.22B
-126.59%-3.16B
1,521.84%26.58B
121.82%552M
303.27%3.58B
393.24%10.59B
Other non cash items
-176.25%-3.99B
105.62%61M
392.60%1.86B
-14.12%578M
-235.32%-931M
20.66%-1.44B
89.42%-1.09B
86.70%-635M
142.57%673M
141.00%688M
Change in working capital
-155.46%-2.05B
129.26%7.11B
15,612.12%10.24B
-148.76%-6.24B
94.41%-580M
132.55%3.69B
-1,071.45%-24.3B
-101.54%-66M
-651.21%-2.51B
-326.78%-10.37B
-Change in loss and loss adjustment expense reserves
39.44%99M
117.76%331M
92.00%96M
95.56%88M
145.16%76M
173.08%71M
-93.71%152M
-98.84%50M
-88.66%45M
-99.32%31M
-Change in other working capital
-159.28%-2.15B
127.73%6.78B
8,843.10%10.14B
-147.83%-6.33B
93.69%-656M
131.85%3.62B
---24.45B
---116M
---2.55B
---10.4B
Cash from discontinued operating activities
Operating cash flow
-12,535.00%-2.49B
30.18%5.61B
272.32%3.4B
0.80%1.9B
-85.43%289M
104.25%20M
332.15%4.31B
145.70%914M
112.99%1.89B
631.73%1.98B
Investing cash flow
Cash flow from continuing investing activities
106.56%16M
80.48%-559M
-91.27%-241M
-43.75%-138M
102.47%64M
-369.23%-244M
-256.54%-2.86B
-147.19%-126M
45.76%-96M
-3,136.25%-2.59B
Net PPE purchase and sale
35.29%-44M
-342.25%-172M
60.98%-16M
-9.52%-46M
-124.28%-42M
-257.89%-68M
187.65%71M
-86.36%-41M
-100.00%-42M
640.63%173M
Net business purchase and sale
102.27%3M
91.97%-217M
-1,918.18%-222M
-1,700.00%-32M
106.27%169M
-4,500.00%-132M
-512.70%-2.7B
70.27%-11M
101.98%2M
---2.7B
Net other investing changes
-45.45%-64M
22.01%-202M
95.95%-3M
9.21%-69M
-30.30%-86M
-2.33%-44M
60.94%-259M
-111.43%-74M
-38.18%-76M
-24.53%-66M
Cash from discontinued investing activities
Investing cash flow
106.56%16M
80.48%-559M
-91.27%-241M
-43.75%-138M
102.47%64M
-369.23%-244M
-256.54%-2.86B
-147.19%-126M
45.76%-96M
-3,136.25%-2.59B
Financing cash flow
Cash flow from continuing financing activities
-250.38%-925M
-4,246.48%-3.09B
16.47%-639M
-569.95%-1.43B
-159.95%-756M
25.42%-264M
72.69%-71M
-163.64%-765M
84.69%-213M
160.54%1.26B
Net issuance payments of debt
-144.49%-109M
-132.76%-610M
109.61%22M
-390.20%-711M
-109.36%-166M
240.28%245M
39.16%1.86B
-111.67%-229M
182.49%245M
1,727.52%1.77B
Net common stock issuance
---174M
---186M
--0
---186M
----
--0
--0
--0
--0
----
Cash dividends paid
-7.11%-467M
-12.63%-1.88B
-20.32%-521M
-9.95%-453M
-9.01%-472M
-10.94%-436M
-17.02%-1.67B
-5.10%-433M
-21.89%-412M
-27.73%-433M
Proceeds from stock option exercised by employees
-45.00%11M
716.67%49M
433.33%16M
350.00%9M
--4M
1,900.00%20M
-83.33%6M
-66.67%3M
-75.00%2M
--0
Net other financing charges
-758.33%-103M
-2,700.00%-52M
---36M
----
-140.00%-4M
-200.00%-12M
-89.47%2M
--0
-33.33%-4M
211.11%10M
Cash from discontinued financing activities
Financing cash flow
-250.38%-925M
-4,246.48%-3.09B
16.47%-639M
-569.95%-1.43B
-159.95%-756M
25.42%-264M
72.69%-71M
-163.64%-765M
84.69%-213M
160.54%1.26B
Net cash flow
Beginning cash position
19.18%11.17B
21.83%9.37B
-4.89%8.94B
11.88%8.37B
31.09%8.85B
21.83%9.37B
-27.75%7.69B
14.06%9.4B
-15.16%7.49B
-17.70%6.75B
Current changes in cash
-595.90%-3.4B
42.85%1.97B
10,869.57%2.52B
-78.74%335M
-161.53%-403M
44.36%-488M
147.16%1.38B
104.33%23M
330.75%1.58B
-2.96%655M
Effect of exchange rate changes
506.06%134M
-155.96%-169M
-528.26%-289M
-32.04%227M
-194.87%-74M
48.44%-33M
962.86%302M
-253.85%-46M
244.33%334M
239.29%78M
End cash position
-10.65%7.91B
19.18%11.17B
19.18%11.17B
-4.89%8.94B
11.88%8.37B
31.09%8.85B
21.83%9.37B
21.83%9.37B
14.06%9.4B
-15.16%7.49B
Free cash flow
-5,172.92%-2.53B
26.19%5.44B
270.57%3.39B
0.60%1.85B
-87.54%247M
90.20%-48M
322.45%4.31B
145.20%914M
113.31%1.84B
729.71%1.98B
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 -12,535.00%-2.49B30.18%5.61B272.32%3.4B0.80%1.9B-85.43%289M104.25%20M332.15%4.31B145.70%914M112.99%1.89B631.73%1.98B
Net income from continuing operations 9.32%1.2B8.38%3.93B-30.54%787M413.48%1.18B-34.47%867M16.49%1.1B-28.86%3.63B-11.14%1.13B-81.80%230M8.27%1.32B
Operating gains losses 179.53%2.51B-117.52%-4.66B-1,783.70%-9.29B83.79%6.57B-88.48%1.22B-126.59%-3.16B1,521.84%26.58B121.82%552M303.27%3.58B393.24%10.59B
Other non cash items -176.25%-3.99B105.62%61M392.60%1.86B-14.12%578M-235.32%-931M20.66%-1.44B89.42%-1.09B86.70%-635M142.57%673M141.00%688M
Change in working capital -155.46%-2.05B129.26%7.11B15,612.12%10.24B-148.76%-6.24B94.41%-580M132.55%3.69B-1,071.45%-24.3B-101.54%-66M-651.21%-2.51B-326.78%-10.37B
-Change in loss and loss adjustment expense reserves 39.44%99M117.76%331M92.00%96M95.56%88M145.16%76M173.08%71M-93.71%152M-98.84%50M-88.66%45M-99.32%31M
-Change in other working capital -159.28%-2.15B127.73%6.78B8,843.10%10.14B-147.83%-6.33B93.69%-656M131.85%3.62B---24.45B---116M---2.55B---10.4B
Cash from discontinued operating activities
Operating cash flow -12,535.00%-2.49B30.18%5.61B272.32%3.4B0.80%1.9B-85.43%289M104.25%20M332.15%4.31B145.70%914M112.99%1.89B631.73%1.98B
Investing cash flow
Cash flow from continuing investing activities 106.56%16M80.48%-559M-91.27%-241M-43.75%-138M102.47%64M-369.23%-244M-256.54%-2.86B-147.19%-126M45.76%-96M-3,136.25%-2.59B
Net PPE purchase and sale 35.29%-44M-342.25%-172M60.98%-16M-9.52%-46M-124.28%-42M-257.89%-68M187.65%71M-86.36%-41M-100.00%-42M640.63%173M
Net business purchase and sale 102.27%3M91.97%-217M-1,918.18%-222M-1,700.00%-32M106.27%169M-4,500.00%-132M-512.70%-2.7B70.27%-11M101.98%2M---2.7B
Net other investing changes -45.45%-64M22.01%-202M95.95%-3M9.21%-69M-30.30%-86M-2.33%-44M60.94%-259M-111.43%-74M-38.18%-76M-24.53%-66M
Cash from discontinued investing activities
Investing cash flow 106.56%16M80.48%-559M-91.27%-241M-43.75%-138M102.47%64M-369.23%-244M-256.54%-2.86B-147.19%-126M45.76%-96M-3,136.25%-2.59B
Financing cash flow
Cash flow from continuing financing activities -250.38%-925M-4,246.48%-3.09B16.47%-639M-569.95%-1.43B-159.95%-756M25.42%-264M72.69%-71M-163.64%-765M84.69%-213M160.54%1.26B
Net issuance payments of debt -144.49%-109M-132.76%-610M109.61%22M-390.20%-711M-109.36%-166M240.28%245M39.16%1.86B-111.67%-229M182.49%245M1,727.52%1.77B
Net common stock issuance ---174M---186M--0---186M------0--0--0--0----
Cash dividends paid -7.11%-467M-12.63%-1.88B-20.32%-521M-9.95%-453M-9.01%-472M-10.94%-436M-17.02%-1.67B-5.10%-433M-21.89%-412M-27.73%-433M
Proceeds from stock option exercised by employees -45.00%11M716.67%49M433.33%16M350.00%9M--4M1,900.00%20M-83.33%6M-66.67%3M-75.00%2M--0
Net other financing charges -758.33%-103M-2,700.00%-52M---36M-----140.00%-4M-200.00%-12M-89.47%2M--0-33.33%-4M211.11%10M
Cash from discontinued financing activities
Financing cash flow -250.38%-925M-4,246.48%-3.09B16.47%-639M-569.95%-1.43B-159.95%-756M25.42%-264M72.69%-71M-163.64%-765M84.69%-213M160.54%1.26B
Net cash flow
Beginning cash position 19.18%11.17B21.83%9.37B-4.89%8.94B11.88%8.37B31.09%8.85B21.83%9.37B-27.75%7.69B14.06%9.4B-15.16%7.49B-17.70%6.75B
Current changes in cash -595.90%-3.4B42.85%1.97B10,869.57%2.52B-78.74%335M-161.53%-403M44.36%-488M147.16%1.38B104.33%23M330.75%1.58B-2.96%655M
Effect of exchange rate changes 506.06%134M-155.96%-169M-528.26%-289M-32.04%227M-194.87%-74M48.44%-33M962.86%302M-253.85%-46M244.33%334M239.29%78M
End cash position -10.65%7.91B19.18%11.17B19.18%11.17B-4.89%8.94B11.88%8.37B31.09%8.85B21.83%9.37B21.83%9.37B14.06%9.4B-15.16%7.49B
Free cash flow -5,172.92%-2.53B26.19%5.44B270.57%3.39B0.60%1.85B-87.54%247M90.20%-48M322.45%4.31B145.20%914M113.31%1.84B729.71%1.98B
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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