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Manulife Financial Corp (MFC)

Manulife Financial Corp (MFC)
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Company Info

Manulife Financial Corp 200 Bloor Street East Toronto A6 M4W 1E5 CAN

www.manulife.com Employees: 40,000 P: 416-926-3000 F: 416-926-5657

Description:

Manulife Financial Corporation one of the dominant life insurers. Manulife reports earnings through six divisions and has five major operating divisions - Asia, Canada, U.S. Insurance and U.S. Wealth Management and Corporate. The Global Wealth and Asset Management offers a broad range of personal and family-oriented wealth management products and services focused on individuals and business markets. The segment has three core business lines - John Hancock Wealth Asset Management, John Hancock Variable Annuities and John Hancock Fixed Products. Corporate and Other is comprised of the earnings on assets backing capital. The Canadian division offers a diverse portfolio of products, services and distribution channels. The segment also markets life, health and specialty products, such as travel insurance, to consumers through a number of alternative distribution channels. Through Manulife Bank, the segment offers a variety of lending products including fixed and variable rate mortgages.

Key Statistics

Overview:

Market Capitalization, $K 51,835,340
Enterprise Value, $K 46,200,080
Shares Outstanding, K 1,758,919
Annual Sales, $ 36,613 M
Annual Net Income, $ 4,047 M
Last Quarter Sales, $ 9,258 M
Last Quarter Net Income, $ 798,660 K
EBIT, $ 16,426 M
EBITDA, $ 17,473 M
60-Month Beta 1.08
% of Insider Shareholders 0.04%
% of Institutional Shareholders 52.56%
Float, K 1,758,215
% Float 99.96%
Short Volume Ratio 0.59

Growth:

1-Year Return 59.25%
3-Year Return 50.43%
5-Year Return 49.29%
5-Year Revenue Growth 21.77%
5-Year Earnings Growth 21.80%
5-Year Dividend Growth 22.73%

Per-Share Information:

Most Recent Earnings 0.66 on 08/07/24
Next Earnings Date 11/06/24 [AMC]
Earnings Per Share ttm 2.73
EPS Growth vs. Prev Qtr -5.71%
EPS Growth vs. Prev Year 6.45%
Annual Dividend Rate, $ 1.14
Annual Dividend Yield 3.87%
Most Recent Dividend 0.290 on 08/21/24
Next Ex-Dividends Date 08/21/24
Dividend Payable Date 09/19/24
Dividend Payout Ratio 39.56%
Most Recent Split 2-1 on 06/05/06

MFC Ratios

Ratio
Price/Earnings ttm 10.70
Price/Earnings forward 10.65
Price/Earnings to Growth 1.06
Return-on-Equity % 16.16%
Return-on-Assets % 0.79%
Profit Margin % 11.05%
Debt/Equity 0.12
Price/Sales 1.42
Price/Cash Flow 8.79
Price/Book 1.61
Book Value/Share 20.86
Interest Coverage 5.15

MFC Dividends

Date Value
08/21/24 $0.2900
05/21/24 $0.2900
02/27/24 $0.2980
11/21/23 $0.2630
08/22/23 $0.2770
05/23/23 $0.2690
02/27/23 $0.2740
11/21/22 $0.2420
08/22/22 $0.2580
05/24/22 $0.2570
02/22/22 $0.2600
11/30/21 $0.2580
08/16/21 $0.2240
11/20/20 $0.2100
08/14/20 $0.2090
05/18/20 $0.2010
02/24/20 $0.2120
11/18/19 $0.1900
08/19/19 $0.1890
05/13/19 $0.1870
02/26/19 $0.1900
11/19/18 $0.1900
08/20/18 $0.1690
05/14/18 $0.1710
02/20/18 $0.1750
11/20/17 $0.1610
08/18/17 $0.1640
05/12/17 $0.1500
02/17/17 $0.1570
11/18/16 $0.1380
08/12/16 $0.1420
05/13/16 $0.1150
02/22/16 $0.1320
11/20/15 $0.1300
08/14/15 $0.1291
05/18/15 $0.1406
05/15/15 $0.1700
02/23/15 $0.1236
11/21/14 $0.1365
08/15/14 $0.1418
05/09/14 $0.1193
02/24/14 $0.1172
11/15/13 $0.1239
08/16/13 $0.1258
05/10/13 $0.1295
02/15/13 $0.1298
11/16/12 $0.1299
08/17/12 $0.1315
05/11/12 $0.1301
02/17/12 $0.1295
11/10/11 $0.1275
08/19/11 $0.1320
05/13/11 $0.1344
02/18/11 $0.1300
11/12/10 $0.1300
08/13/10 $0.1250
05/14/10 $0.1300
02/22/10 $0.1230
11/13/09 $0.1200
08/14/09 $0.1700
05/18/09 $0.2200
02/23/09 $0.2061
11/14/08 $0.2180
08/15/08 $0.2451
05/19/08 $0.2380
02/25/08 $0.2380
11/15/07 $0.2550
08/16/07 $0.2090
05/11/07 $0.1980
02/22/07 $0.1720
11/13/06 $0.1760
08/14/06 $0.1556
05/12/06 $0.3175
02/16/06 $0.3029
11/10/05 $0.2530
08/12/05 $0.2485
05/13/05 $0.2401
02/17/05 $0.2107
11/12/04 $0.2172
08/12/04 $0.1968
05/13/04 $0.1518
02/12/04 $0.1600
11/13/03 $0.1600
08/13/03 $0.1500
05/13/03 $0.1300
02/12/03 $0.1200
11/13/02 $0.1800
08/13/02 $0.0900
05/13/02 $0.0900
02/13/02 $0.0900
11/13/01 $0.0700
08/13/01 $0.0800
05/11/01 $0.0800
02/16/01 $0.0800
11/16/00 $0.1000
08/23/00 $0.1000
05/31/00 $0.1000
03/16/00 $0.0250
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