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Manulife Financial CorporationInforme acción NYSE:MFC

Capitalización bursátil US$67.2b
Precio de las acciones
US$40.74
US$39.6
2.9% sobrevalorado descuento intrínseco
1Y30.5%
7D4.8%
1D
Valor de la cartera
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Manulife Financial Corporation

Informe acción NYSE:MFC

Capitalización de mercado: US$67.2b

Manulife Financial (MFC) Resumen de Acciones

Manulife Financial Corporation, junto con sus filiales, ofrece productos y servicios financieros en Estados Unidos, Canadá, Asia y a escala internacional. Saber más

Análisis fundamental de MFC
Puntuación del snowflake
Valoración2/6
Crecimiento futuro2/6
Rendimiento pasado4/6
Salud financiera5/6
Dividendos5/6

MFC Community Fair Values

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Competidores de Manulife Financial Corporation

Historial de precios y rendimiento

Resumen de las cotizaciones máximas, mínimas y variaciones del Manulife Financial
Precios históricos de las acciones
Precio actual de la acciónCA$40.74
Máximo en las últimas 52 semanasCA$40.86
Mínimo de 52 semanasCA$29.70
Beta0.78
Cambio en 1 mes8.44%
Variación en 3 meses17.95%
Cambio de 1 año30.45%
Variación en 3 años114.53%
Variación en 5 años108.71%
Variación desde la OPV568.58%

Noticias y actualizaciones recientes

Seeking Alpha May 27

Manulife: The Market Punished The Wrong Q1

Summary Manulife stock sold off almost 6% after Q1 2026 earnings on a single line item, while its Asia core earnings grew 22% and NBV 15%. The residual income valuation model anchored on Damodaran's industry beta puts intrinsic value at C$76 vs. C$52; on per-name beta, roughly fair. MFC's reported P/B of 2.0x ignores C$25.6B of net CSM. On adjusted book value, MFC trades at 1.3x. The real risk is whether Q1's retail mutual-fund outflows become a trend, forcing Asia to carry the thesis alone. Read the full article on Seeking Alpha

Recent updates

Seeking Alpha May 27

Manulife: The Market Punished The Wrong Q1

Summary Manulife stock sold off almost 6% after Q1 2026 earnings on a single line item, while its Asia core earnings grew 22% and NBV 15%. The residual income valuation model anchored on Damodaran's industry beta puts intrinsic value at C$76 vs. C$52; on per-name beta, roughly fair. MFC's reported P/B of 2.0x ignores C$25.6B of net CSM. On adjusted book value, MFC trades at 1.3x. The real risk is whether Q1's retail mutual-fund outflows become a trend, forcing Asia to carry the thesis alone. Read the full article on Seeking Alpha
Seeking Alpha Feb 21

Manulife 2024 Earnings Review: Good Operating Momentum But Limited Upside

Summary Manulife Financial Corporation's strong fundamentals and growth prospects in the life insurance sector make it an interesting long-term investment despite its current overvaluation. Positive 2024 earnings, driven by Asia operations and digital initiatives, led to a 10% dividend increase and a new share buyback program. Manulife's balance sheet is robust, allowing significant shareholder returns, with a forward dividend yield of 3.9% and a 137% capital ratio. Despite strong performance, the current share price reflects limited short-term upside, making Manulife a “hold” for long-term investors. Read the full article on Seeking Alpha
Seeking Alpha Dec 17

Manulife Financial Expected To Keep Rising On Insurance And Annuities Growth, Profitability

Summary Manulife Financial gets upgraded to a buy, from my prior hold rating, as future revenue and earnings indicators remain strong. Q3 results saw YoY growth in new insurance policies, as well as client inflows to its wealth business. Its profit margin beats key peers, and AI-driven process improvements are expected to make some areas more cost-effective. The firm's asset exposure is largely in government and corporate bonds, with some lesser exposure to commercial real estate. Read the full article on Seeking Alpha
Seeking Alpha Oct 31

Manulife: Despite Strong Fundamentals, It's Time To Take Profits

Summary Manulife Financial Corporation is an insurance company with strong fundamentals and good growth prospects, namely due to its large exposure to Asia. Its operating performance has been positive, and this trend is expected to be maintained in Q3 2024. Despite this backdrop, MFC's valuation is at a premium to its historical levels and upside potential seems limited right now. Read the full article on Seeking Alpha
Seeking Alpha Sep 09

Manulife Financial: Dividend Powerhouse With High Growth Potential

Summary Manulife Financial offers strong growth potential with a focus on higher-margin segments like Asia and Global Wealth & Asset Management. MFC boasts a solid balance sheet, a 4.4% dividend yield, and a robust share buyback program, enhancing shareholder value. The company's strategic shift aims for 75% contribution from high-growth segments by 2025, targeting a 15%-18% ROE by 2027. Despite potential risks, MFC's reasonable valuation and focus on high-cash generation businesses position it for strong total returns. Read the full article on Seeking Alpha
Seeking Alpha Jun 26

Manulife Financial: This Dividend Grower Still Has Upside

Summary The company, founded in 1887, has a strong presence in Asia and has been steadily increasing its earnings despite challenges in the past decade. Manulife Financial has seen a 45% increase in performance over the last year, driven by growth in Asia, higher interest rates, and a robust share buyback program. With projected 10-12% annual earnings growth, a low valuation, and a sustainable dividend yield of 4.5%, Manulife presents an attractive investment opportunity. Read the full article on Seeking Alpha
Seeking Alpha Jun 09

Manulife Financial: A Hidden Gem Insurance Company Deserving Of Your Attention

Summary Manulife Financial Corporation investors have outperformed the S&P 500 easily over the past year. Despite this, MFC is still reasonably valued with a "C+" valuation grade. Manulife benefits from robust growth opportunities in Asia and its recovering global wealth management business. I explain why MFC's bullish rally is still well-positioned to resume, despite facing near-term volatility. I argue why investors should consider capitalizing on MFC's recent weakness before it potentially surges higher. Read the full article on Seeking Alpha
Seeking Alpha Apr 19

Manulife Financial: Company Firing On All Cylinders, But Valuation Too Rich (Rating Downgrade)

Summary Manulife Financial is a conservatively managed financial services company with a solid core North American business and good growth prospects in Asia. The company reported strong performance in terms of net income, premiums, and profitability. Manulife achieved several milestones in 2023, including a long-term care reinsurance deal and returning capital to shareholders. The share price has run up nearly 20% since Q4 2023 and is now ahead of fair value. Read the full article on Seeking Alpha
Seeking Alpha Feb 11

Should You Buy Manulife For Its 4.8% Yield?

Summary Manulife Financial Corp is a great income investment in the financial sector with an attractive dividend yield and strong business fundamentals. The company has good business diversification and is well-positioned to benefit from structural trends such as the aging population and digitalization. Manulife has a positive financial track record, with strong growth in 2022 and good operating income in 2023, supporting its growth prospects and profitability. Read the full article on Seeking Alpha
Seeking Alpha Jan 26

Manulife: Undervalued With Massive Capital Returns

Summary Manulife Financial is a good income diversifier for portfolios due to its asset-light nature and higher margins. MFC has shown strong growth and profitability, with a focus on expanding in emerging markets in Asia and growing its wealth management business. The company offers attractive capital returns through dividends and share buybacks and is undervalued compared to its historical PE ratio. Read the full article on Seeking Alpha
Seeking Alpha Jan 02

Manulife Financial: Strong Revenue And Dividend Growth While Share Price Skyrockets (Downgrade)

Summary Manulife Financial downgraded from Strong Buy to Hold, more cautious than the rating consensus today. Share price now double-digits above its 200-day moving average, while top and bottom line YoY growth remains positive. Company has its major asset risk exposure tied to bonds. Read the full article on Seeking Alpha
Seeking Alpha Dec 19

Manulife: Time To Take Some Profits

Summary Manulife Financial Corporation's shares have outperformed the S&P 500 and iShares US Insurance ETF by over 11.5%. The company's Q3-2023 results showed strong APE sales and a 35% increase in core earnings per share. Underneath those numbers, there are some big detractors from the core earnings. We tell you why we took the preferreds off the board, and why it might be time to consider doing the same with the common. Read the full article on Seeking Alpha
Seeking Alpha Nov 27

Manulife Financial: Lock In This Growing Dividend At A Discount

Summary Manulife Financial is a Canadian Life Insurer and Asset Manager. MFC pays a 5.6% dividend with a payout ratio below 50%. Growth prospects are solid. Performance will be even more secure in a higher for longer rate scenario. Read the full article on Seeking Alpha
Seeking Alpha Oct 05

Manulife: The Perpetual Preferreds Are Now Getting Attractive

Summary Manulife Financial Corporation's Q2-2023 results showed strong core earnings, with earnings per share up 9% YoY. The company's valuation is considered undervalued, trading at 7.3X earnings and 1.1X book value. We examine our last preferred share idea and give you a new one. Read the full article on Seeking Alpha
Seeking Alpha Sep 25

Manulife: Taking A Closer Look At Canadian Life Insurance

Summary Since 2018, Manulife has been successfully implementing its strategic plan to de-risk its portfolio. Manulife offers a strong dividend yield, attractive valuation, and a focus on high-potential markets like Asia, making it an appealing investment option. Exposure to commercial real estate and sensitivity to market downturns are key risks to consider. Manulife should benefit from rising interest rates, particularly in its fixed-income portfolio. Read the full article on Seeking Alpha
Seeking Alpha Jul 19

Manulife Financial: Dividend Yield Beyond 5% And Positive Net Income Growth

Summary Manulife Financial gets a strong buy rating today. Positives: dividend yield over 5%, positive net income growth, sustainable liquidity & capital, valuation lower than its sector average, price chart trend favorable for next dip buying opportunity. Risks of commercial real estate exposure have been discussed. Read the full article on Seeking Alpha
Seeking Alpha Jun 13

Manulife: You Shouldn't Doubt This Company, Still A 'Buy'

Summary Manulife is a fundamentally sound business that has been underestimated by many. The company has shown a 2x S&P500 outperformance for the last 7-8 months, and I believe this to be the beginning, not the end of this company's overall journey. It is worth considering whether to continue investing in Manulife or take profits and reinvest elsewhere - but I'm keeping my shares for the time being, and say "BUY" Read the full article on Seeking Alpha

Rentabilidad de los accionistas

MFCUS InsuranceMercado US
7D4.8%3.0%0.5%
1Y30.5%-4.2%23.5%

Rentabilidad vs. Industria: MFC superó a la industria US Insurance, que obtuvo un rendimiento del -4.2% el año pasado.

Rentabilidad vs. Mercado: MFC superó al mercado US, que obtuvo un rendimiento del 23.5% el año pasado.

Volatilidad de los precios

Is MFC's price volatile compared to industry and market?
MFC volatility
MFC Average Weekly Movement3.2%
Insurance Industry Average Movement4.3%
Market Average Movement7.2%
10% most volatile stocks in US Market16.7%
10% least volatile stocks in US Market3.1%

Precio estable de las acciones: MFC no ha tenido una volatilidad de precios significativa en los últimos 3 meses en comparación con el mercado US.

Volatilidad a lo largo del tiempo: La volatilidad semanal de MFC (3%) se ha mantenido estable durante el año pasado.

Acerca de la empresa

FundadaEmpleadosCEOPágina web
188737,000Phil Witheringtonwww.manulife.com

Manulife Financial Corporation, junto con sus filiales, ofrece productos y servicios financieros en Estados Unidos, Canadá, Asia e internacionalmente. Opera a través de los segmentos Wealth and Asset Management Businesses; Insurance and Annuity Products; y Corporate and Other. El segmento Wealth and Asset Management Businesses ofrece asesoramiento y soluciones de inversión a clientes jubilados, minoristas e institucionales a través de múltiples canales de distribución, incluidos agentes y corredores afiliados a la empresa, empresas independientes de corretaje de valores y asesores financieros, consultores de planes de pensiones y bancos.

Resumen de fundamentos de Manulife Financial Corporation

¿Cómo se comparan los beneficios e ingresos de Manulife Financial con su capitalización de mercado?
Estadísticas fundamentales de MFC
Capitalización bursátilUS$67.17b
Beneficios(TTM)US$4.22b
Ingresos (TTM)US$22.89b
16.1x
Ratio precio-beneficio (PE)
3.0x
Ratio precio-ventas (PS)

Beneficios e Ingresos

Estadísticas clave de rentabilidad del último informe de resultados (TTM)
Cuenta de resultados (TTM) de MFC
IngresosCA$32.03b
Coste de los ingresosCA$15.91b
Beneficio brutoCA$16.12b
Otros gastosCA$10.20b
BeneficiosCA$5.91b

Últimos beneficios comunicados

Mar 31, 2026

Próxima fecha de beneficios

Aug 05, 2026

Beneficios por acción (BPA)3.54
Margen bruto50.32%
Margen de beneficio neto18.46%
Ratio deuda/patrimonio44.3%

¿Cómo se ha desempeñado MFC a largo plazo?

Ver rendimiento histórico y comparativa

Dividendos

3.4%
Rentabilidad actual por dividendo
52%
Ratio de pagos
¿Cuándo hay que comprar MFC para recibir un próximo dividendo?
fechas de dividendos de Manulife Financial
Fecha ex dividendoMay 29 2026
Fecha de pago de dividendosJun 19 2026
Días hasta ex dividendo18 days
Días hasta la fecha de pago de dividendos3 days

Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/06/15 02:02
Precio de las acciones al final del día2026/06/15 00:00
Beneficios2026/03/31
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
Principales avances10 años
  • Anuncios de empresas

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al equipo de talla mundial que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

Manulife Financial Corporation está cubierta por 31 analistas. 11 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
Mark RosenAccountability Research Corporation
Lemar PersaudATB Cormark Historical (Cormark Securities)
Eric BergBarclays