av/manulife--big.svg

NYSE:MFC

Manulife Financial Corporation

  • Stock

USD

Last Close

35.70

26/07 20:00

Market Cap

66.46B

Beta: 1.12

Volume Today

4.05M

Avg: 3.35M

PE Ratio

11.19

PFCF: 2.78

Dividend Yield

3.63%

Payout:60.76%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
3.17B
-
3.59B
13.49%
2.29B
36.26%
3.13B
36.81%
2.26B
27.80%
4.89B
116.05%
5.50B
12.58%
5.58B
1.34%
6.91B
23.96%
7.18B
3.91%
5.10B
28.95%
depreciation and amortization
426M
-
462M
8.45%
580M
25.54%
693M
19.48%
560M
19.19%
747M
33.39%
626M
16.20%
656M
4.79%
529M
19.36%
538M
1.70%
581M
7.99%
deferred income tax
475M
-
98M
79.37%
-343M
450%
-235M
31.49%
-331M
40.85%
930M
380.97%
-454M
148.82%
280M
161.67%
-127M
145.36%
731M
675.59%
470M
35.70%
stock based compensation
15M
-
14M
6.67%
16M
14.29%
19M
18.75%
15M
21.05%
10M
33.33%
11M
10%
14M
27.27%
9M
35.71%
5M
44.44%
2M
60%
change in working capital
-11.68B
-
23.95B
305.10%
6.24B
73.96%
16.15B
158.97%
22.24B
37.71%
3.52B
84.18%
35.01B
894.74%
35.89B
2.53%
10.83B
69.83%
-35.42B
427.12%
18.75B
152.93%
accounts receivables
1.67B
-
1.10B
33.75%
-690M
162.56%
-2.20B
219.42%
inventory
accounts payables
other working capital
-11.68B
-
23.95B
305.10%
6.24B
73.96%
16.15B
158.97%
22.24B
37.71%
3.52B
84.18%
33.34B
847.43%
34.79B
4.34%
11.52B
66.89%
-33.21B
388.38%
18.75B
156.44%
other non cash items
17.30B
-
-17.31B
200.05%
1.55B
108.98%
-2.73B
275.42%
-6.96B
155.25%
9.10B
230.71%
-20.15B
321.53%
-22.37B
11.01%
5.00B
122.38%
44.70B
793.03%
-4.48B
110.02%
net cash provided by operating activities
9.71B
-
10.81B
11.31%
10.33B
4.37%
17.04B
64.85%
17.79B
4.43%
19.19B
7.85%
20.54B
7.06%
20.05B
2.40%
23.16B
15.50%
17.73B
23.41%
20.42B
15.16%
investments in property plant and equipment
80.61B
-
24.25B
-
18.20B
24.94%
acquisitions net
-359M
-
-199M
44.57%
-3.81B
1,813.57%
-495M
87.00%
-10M
97.98%
187M
1,970%
288M
54.01%
-19M
-
-182M
857.89%
-1M
99.45%
purchases of investments
-80.61B
-
-111.98B
38.92%
-120.98B
8.03%
-111.61B
7.74%
-84.03B
24.71%
sales maturities of investments
57.72B
-
58.87B
1.99%
66.95B
13.72%
82.00B
22.48%
70.72B
13.76%
82.11B
16.11%
65.33B
20.43%
98.85B
51.30%
96.73B
2.15%
93.41B
3.43%
70.28B
24.76%
other investing activites
-67.91B
-
-62.74B
7.61%
-77.01B
22.74%
-104.25B
35.37%
-87.00B
16.55%
-101.30B
16.44%
-79.45B
21.57%
-1.02B
98.72%
-24.42B
2,301.47%
-18.43B
24.55%
21M
100.11%
net cash used for investing activites
-10.55B
-
-4.07B
61.45%
-13.87B
241.00%
-22.74B
64.00%
-16.29B
28.37%
-19.00B
16.67%
-13.83B
27.22%
-14.15B
2.30%
-24.44B
72.76%
-18.61B
23.86%
-13.73B
26.20%
debt repayment
-555M
-
-1B
80.18%
-2.59B
159.30%
-1.11B
57.31%
-1.51B
36.04%
-850M
43.56%
-1.62B
90.24%
-2.04B
25.91%
-2.19B
7.66%
-1.12B
48.91%
-756M
32.50%
common stock issued
17M
-
43M
152.94%
37M
13.95%
66M
78.38%
124M
87.88%
59M
52.42%
104M
76.27%
36M
65.38%
51M
41.67%
23M
54.90%
1.29B
5,500%
common stock repurchased
923M
-
-800M
186.67%
2.31B
389.13%
6.09B
163.12%
2.92B
52.00%
-478M
116.36%
-1.34B
180.13%
-253M
81.11%
-612M
141.90%
-2.60B
324.02%
-1.59B
38.54%
dividends paid
-761M
-
-910M
19.58%
-1.43B
56.81%
-1.59B
11.63%
-1.78B
11.74%
-1.79B
0.45%
-1.40B
21.81%
-2.34B
67.38%
-2.50B
6.84%
-2.79B
11.48%
-2.97B
6.64%
other financing activites
869M
-
2.69B
209.32%
-336M
112.50%
-166M
50.60%
255M
253.61%
2.33B
814.90%
2.17B
6.99%
5.26B
142.21%
3.21B
39.00%
3.47B
8.36%
-993M
128.58%
net cash used provided by financing activities
493M
-
21M
95.74%
-2.01B
9,652.38%
3.29B
263.81%
14M
99.57%
-724M
5,271.43%
-2.08B
187.29%
663M
131.88%
-2.05B
408.75%
-3.00B
46.80%
-5.03B
67.32%
effect of forex changes on cash
479M
-
790M
64.93%
2.10B
166.08%
-347M
116.51%
-658M
89.63%
822M
224.92%
-466M
156.69%
-528M
13.30%
-319M
39.58%
585M
283.39%
-412M
170.43%
net change in cash
133M
-
7.55B
5,577.44%
-3.44B
145.49%
-2.76B
19.53%
860M
131.11%
284M
66.98%
4.17B
1,366.90%
6.04B
44.86%
-3.65B
160.53%
-3.29B
9.80%
-829M
74.84%
cash at beginning of period
12.75B
-
12.89B
1.04%
20.44B
58.60%
17.00B
16.81%
14.24B
16.26%
15.10B
6.04%
15.38B
1.88%
19.55B
27.08%
25.58B
30.87%
21.93B
14.28%
15.01B
31.58%
cash at end of period
12.89B
-
20.44B
58.60%
17.00B
16.81%
14.24B
16.26%
15.10B
6.04%
15.38B
1.88%
19.55B
27.08%
25.58B
30.87%
21.93B
14.28%
18.64B
15.03%
14.18B
23.93%
operating cash flow
9.71B
-
10.81B
11.31%
10.33B
4.37%
17.04B
64.85%
17.79B
4.43%
19.19B
7.85%
20.54B
7.06%
20.05B
2.40%
23.16B
15.50%
17.73B
23.41%
20.42B
15.16%
capital expenditure
80.61B
-
24.25B
-
18.20B
24.94%
free cash flow
9.71B
-
10.81B
11.31%
10.33B
4.37%
17.04B
64.85%
17.79B
4.43%
19.19B
7.85%
101.15B
427.16%
20.05B
80.18%
47.41B
136.46%
35.94B
24.19%
20.42B
43.17%

All numbers in USD (except ratios and percentages)