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Manulife Financial Corporation

MFC | US

33.41

USD

-0.09

-0.27%

MFC | US

About Manulife Financial Corporation

Sector

Financial Services

Industry

Insurance-Life

Earnings date

30/06/2024

As of date

13/03/2026

Close

33.41

Open

33.71

High

33.80

Low

33.35

Manulife Financial Corporation together with its subsidiaries provides financial products and services in Asia Canada the United States and internationally. The company operates through Wealth and Asset Management Businesses; Insurance and Annuity Products; and Corporate and Other segments. The Wealth and Asset Management Businesses segment offers investment advice and solutions to retirement retail and institutional clients through multiple distribution channels including agents and brokers affiliated with the company independent securities brokerage firms and financial advisors pension plan consultants and banks. The Insurance and Annuity Products segment provides deposit and credit products; and individual life insurance individual and group long-term care insurance and guaranteed and partially guaranteed annuity products through multiple distribution channels including insurance agents brokers banks financial planners and direct marketing. The Corporate and Other segment is involved in property and casualty reinsurance businesses; and run-off reinsurance operations including variable annuities and accident and health. The company also manages timberland and agricultural portfolios; and engages in insurance agency investment counseling and dealer portfolio and mutual fund management property and casualty insurance and mutual fund dealer businesses. Manulife Financial Corporation was incorporated in 1887 and is headquartered in Toronto Canada.

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MFC | US

Risk
27.4
Sharpe
0.55
Luna's Score
58/100
Recommendation
Hold

Luna says (MFC | US)

What's Working

Low 6-Month Volatility (<30%)

Largecap (10B - 200B USD)

Good Dividend Yield (2% <= Dividend Yield <= 8%)

Value Stock (Price to Book < 3)

Strong Revenue Growth (> 10%)

What's not Working

Negative Momentum (Declining Price)

Price Below SMA10D

High Market Beta (> 0.8)

Volatility Signals

Bullish: Stable Volatility (6-month <= 1-month volatility) is positive for the stock performance.

Risk Meter

10 days

17.9%

1 month

27.4%

3 months

21.7%

6 months

19.4%

Returns

Fundamental Ratios

PE

17.83

Fwd. PE

10.53

Price to book

1.75

Debt to equity

-

Debt to assets

-

Ent. to EBITDA

-

Ent. to rev.

1.70

PEG

1.01

Other Fundamentals

EBITDA

8.36B

MarketCap

59.33B

MarketCap(USD)

59.33B

Div. yield

3.85

Op. margin

21.03

Erngs. growth

13.60

Rev. growth

12.80

Ret. on equity

10.41

Short ratio

6.24

Short perc.

0.52

Market Sentiment (SMA and Price signals)

Short-term: Bearish (SMA10D < SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bullish (SMA6M > SMA12M)

SMAs: Stock Price Trends

Range10D

3.07

Range1M

5.95

Range3M

6.13

Volumes: Market Activity

Rel. volume

0.46

Price X volume

51.10M

Peers

Name
Ticker
Industry
Close
Marketcap
Day Return
PE Ratio
Debt to Equity
 
 
 
 
 
 
 
 
Aflac IncorporatedAFLInsurance-Life108.7160.88B-0.84%12.0728.62%
Apollo Global Management LLCAPOAsset Management104.4459.48B4.13%15.6864.26%
Shelton Greater China FundTFCBanks-Regional43.8358.69B-1.22%n/a91.99%
Brookfield CorpBNAsset Management38.3757.92B-1.01%98.930.00%
MetLife IncMETInsurance-Life67.9747.60B-1.19%23.1869.42%
Ameriprise Financial IncAMPAsset Management442.0843.41B0.41%17.89119.83%
Thomson Reuters CorporationTRICapital Markets96.3443.35B-2.96%32.8029.05%
MSCI IncMSCICapital Markets547.943.07B2.15%40.64-635.07%
Prudential plcPUKInsurance-Life28.6438.98B-1.51%27.5633.81%
State Street CorporationSTTAsset Management121.3435.70B-1.52%14.33145.48%
  • 1

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Twenty-First Century Fox IncFOXAMedia - Diversified57.3925.18B-0.61%13.5776.09%
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Avery Dennison CorporationAVYBuilding Products & Equipment170.7713.75B-0.14%27.93140.74%
Solventum Corp.SOLVHealth Information Services66.769.77B0.97%n/a311.02%
  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA---
Ent. to Revenue1.70-Par
PE Ratio17.8317.00Par
Price to Book1.751.67Par
Dividend Yield3.85-Leader
Std. Deviation (3M)21.72-Lower Risk
Debt to Equity-0.66-
Debt to Assets-0.05-
Market Cap59.33B-Market Leader
  • 1

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