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stocks
MFC
profile
Manulife Financial Corp.
Follow
MFC
(
NYSE
)
Closed
24.98
+0.32 (+1.30%)
in
:
usd
•
As of: Mar 28, 2024 15:59
UTC -4
Open
24.66
High
25.14
Low
24.65
Overview
News & Analysis
Profile
Financials
Advanced Chart
History
Earnings
Dividends
About
Manulife Financial Corp.
CEO
Roy Gori
Headquarters
200 bloor street east
toronto, a6 m4w 1e5, canada
Auditor
Ernst & Young LLP
Employees
40,000
Share Holders
N/A
Website
https://www.manulife.com
Industry
multi line insurance
Sector
finance
Company Overview
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.
Manulife Financial Corp.
Statistics
Valuation Measures
Market Capitalization
2
45.11B
Enterprise Value
34.54B
Enterprise Value/EBITDA
(ttm)
1.90
Price to Earnings Ratio
(ttm)
9.60
Price to Book
(mrq)
1.43
Price to Sales
(ttm)
1.23
Price to Cash
(ytd)
7.42
Profitability
Gross Margin
(ttm)
0.00%
Operating Margin
(ttm)
13.67%
Profit Margin
(ttm)
9.68%
Return on Equity
(ttm)
15.98%
Return on Invested Capital
(ttm)
10.25%
Return on Assets
(ttm)
0.78%
Income Statement
Revenue
(ttm)
36.61B
Revenue Per Share
(ttm)
20.27
Gross Profit
(ttm)
0.00
EBITDA
(ttm)
3
18.14B
Net Income Avi to Common
(ttm)
3.56B
Diluted EPS
(ttm)
1.93
Share Statistics
Beta (5Y Monthly)
1.08
52-Week Change
46.94%
S&P500 52-Week Change
30.45%
S&P500 Member
No
Stock Optionable
Yes
Total Shares Outstanding
1
1.81B
Dividend Yield
4.83%
Float
4
1.81B
%
Held by Insiders
0.04%
%
Held by Institutions
52.56%
Balance Sheet
Total Cash
(mrq)
0.00
Total Cash Per Share
(mrq)
0.00
Total Debt
(mrq)
4.50B
Total Debt/Equity
(mrq)
12.46%
Current Ratio
(mrq)
N/A
Quick Ratio
(mrq)
N/A
Book Value Per Share
(mrq)
19.99
Cash Flow
Operating Cash Flow Per Share
(ytd)
8.23
Free Cash Flow
(ytd)
15.13B
Table Key
mrq
=
Most Recent Quarter
ttm
=
Trailing Twelve Months
ytd
=
Year To Date
Footnotes
Data provided by Zacks Investment Research or calculated by FXEmpire. Stock price provided by Xignite. All numbers are rounded to the closest decimal.
1
Total Shares outstanding is taken from the most recently filed quarterly or annual report.
2
Market Cap is calculated using total shares outstanding and the most recent share price.
3
EBITDA is calculated using methodology that may differ from that used by a company in its reporting.
4
The float is a measure of the number of shares available for trading by the public. It's calculated by taking the number of issued and outstanding shares minus any restricted stock, which might not be publicly traded.
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