Manulife Financial Corporation

TSX:MFC Rapport sur les actions

Capitalisation boursière : CA$97.7b

Manulife Financial Croissance future

Future contrôle des critères 2/6

Manulife Financial devrait augmenter ses bénéfices et son chiffre d'affaires de 10% et de 13.2% par an respectivement. Le BPA devrait croître de de 10.8% par an. Le rendement des capitaux propres devrait être 17.8% dans 3 ans.

Informations clés

10.0%

Taux de croissance des bénéfices

10.79%

Taux de croissance du BPA

Insurance croissance des bénéfices4.7%
Taux de croissance des recettes13.2%
Rendement futur des capitaux propres17.78%
Couverture par les analystes

Good

Dernière mise à jour10 Jul 2026

Mises à jour récentes de la croissance future

Recent updates

Mise à jour du récit Jun 22

MFC: AI Leadership And Asia Expansion Will Support Balanced Medium Term Outlook

Analysts have slightly adjusted their view on Manulife Financial, with recent Street updates pointing to a modestly lower blended price target in the CA$54 to CA$58 range as they fine tune assumptions rather than change the core outlook. Analyst Commentary Recent Street commentary on Manulife Financial centers on fine tuning of price targets in the CA$54 to CA$58 range, with analysts largely maintaining existing ratings while adjusting valuation assumptions at the margin.
Mise à jour du récit Jun 05

MFC: AI Partnerships And Leadership Changes Will Support Medium Term Sentiment Stability

Narrative Update: Manulife Financial The analyst price target for Manulife Financial is now framed around CA$54 to CA$58, with the updated fair value estimate of CA$55.38 reflecting recent Street adjustments and analyst views on revenue growth, profit margins, and future P/E assumptions. Analyst Commentary Recent Street updates on Manulife Financial cluster in a fairly tight CA$54 to CA$58 range, as analysts fine tune their models rather than making sweeping valuation changes.
Mise à jour du récit Apr 29

MFC: Capital Returns And Partnerships Will Support Medium Term Sentiment Stability

Analysts have nudged their average price target on Manulife Financial slightly higher by CA$1, reflecting incremental adjustments from recent research updates while keeping key valuation inputs, such as fair value, discount rate, revenue growth, profit margin, and future P/E, effectively unchanged. Analyst Commentary Recent research updates point to a mixed but generally constructive stance on Manulife Financial, with several bullish price target adjustments offset by at least one reduction.
Mise à jour du récit Apr 15

MFC: Capital Returns And Partnerships Will Support Medium Term Multiple Stability

Manulife Financial's analyst price targets have seen a small upward reset to around CA$55 to CA$56, as analysts factor in steady fair value estimates, updated revenue and margin assumptions, and mixed but generally supportive recent research updates from Scotiabank, RBC Capital, and TD Securities. Analyst Commentary Bullish Takeaways Bullish analysts lifting price targets toward CA$56 indicate continued confidence that current valuation still leaves some room for upside based on their fair value work.
Article d’analyse Apr 13

Manulife Financial Corporation (TSE:MFC) Analysts Just Slashed This Year's Revenue Estimates By 13%

The latest analyst coverage could presage a bad day for Manulife Financial Corporation ( TSE:MFC ), with the analysts...
Mise à jour du récit Mar 31

MFC: Medium Term Execution And Capital Returns Will Support Multiple Expansion

Analysts have nudged the average price target for Manulife Financial higher, with several firms lifting their views by CA$1 to CA$3 into the CA$52 to CA$58 range, citing progress on medium term targets, potential upside to consensus estimates, and room for further multiple expansion. Analyst Commentary Recent research commentary around Manulife Financial has focused on how well the company is executing on its medium term goals, what that could mean for earnings expectations, and how much upside remains in the current valuation range.
Mise à jour du récit Mar 17

MFC: Execution On Medium Term Goals Will Support Further Multiple Expansion

Analysts have nudged the fair value estimate for Manulife Financial slightly higher to about CA$54.71, citing modestly higher revenue growth assumptions, a somewhat lower profit margin outlook, and a higher future P/E that aligns with a series of recent price target increases in the CA$52 to CA$58 range. Analyst Commentary Recent Street research on Manulife Financial has been active, with several firms adjusting price targets in a tight CA$52 to CA$58 range and one rating upgrade.
Mise à jour du récit Mar 03

MFC: Execution On Medium Term Goals Will Support Further Multiple Expansion

Analysts have inched their average price target for Manulife Financial higher to about the CA$55 to CA$58 range, reflecting updated views around the company’s progress toward its medium term objectives, potential upside to consensus estimates, and the possibility of further multiple expansion supported by capital strength, cash flow and sector consolidation themes discussed in recent research. Analyst Commentary Recent research shows a mix of optimism and caution around Manulife Financial, with several firms adjusting price targets in the CA$52 to CA$58 range and one lowering its target by CA$1.
Mise à jour du récit Feb 17

MFC: Core Execution And Capital Returns Will Support Measured Multiple Expansion

Analysts have raised their fair value estimate for Manulife Financial by CA$1.00 to CA$54.67. This reflects updated assumptions for revenue growth, profit margins, and a slightly lower future P/E that align with a series of recent target increases from Scotiabank, RBC Capital, CIBC, and Barclays, partly offset by a modest trim from TD Securities.
Mise à jour du récit Feb 02

MFC: Core Insurance Execution And Asia Focus Will Support Measured Multiple Expansion

Our analyst fair value estimate for Manulife Financial has edged up by about $0.20 per share as analysts reflect a series of higher price targets, supported by views on execution against medium term objectives, potential upside to consensus estimates, and room for further multiple expansion within the life insurance group. Analyst Commentary Recent Street research on Manulife Financial has leaned constructive, with several firms lifting price targets and, in at least one case, upgrading the stock rating.
Mise à jour du récit Jan 19

MFC: Core Insurance Strength And Asia Expansion Will Support Measured Multiple Expansion

Narrative update on Manulife Financial The updated analyst price target for Manulife Financial has edged higher to about $53.47 from $51.94. This reflects analysts' responses to recent target increases, upgraded ratings, and expectations for potential multiple expansion supported by capital strength, cash flow, and execution against medium term objectives.
Mise à jour du récit Jan 05

MFC: Core Insurance Strength And Asia Expansion Will Support Balanced Outlook

Analysts have nudged their price targets for Manulife Financial higher, with recent raises of approximately $2 to $5. These adjustments reflect improved life insurance earnings, stronger core insurance results, and solid Asia sales, while still accounting for sector headwinds from potential Fed cuts.
Mise à jour du récit Dec 16

MFC: Core Insurance And Asia Execution Will Support Balanced Medium Term Outlook

Analysts have nudged their price targets on Manulife Financial higher, with recent revisions in both U.S. dollar and Canadian dollar terms reflecting stronger than expected life insurance earnings and solid core insurance and Asia growth. This has resulted in a modest increase in our fair value estimate to about $51.94.
Mise à jour du récit Dec 02

MFC: Core Insurance Performance And Asia Sales Will Drive Resilient Future Outlook

Analysts have raised their price targets for Manulife Financial, with increases ranging from C$1 to C$5 per share. They cite strong insurance earnings reports and continued sales growth in Asia as key factors for the improved outlook.
Mise à jour du récit Nov 18

MFC: Core Insurance Strength and Asia Momentum Will Support Steady Outlook

Analysts have raised their average price target for Manulife Financial from $49.13 to $51.87. This change reflects improved expectations for revenue growth and ongoing positive model updates following recent strong earnings reports in the life insurance sector.
Mise à jour du récit Nov 01

MFC: Sector Headwinds And Mixed Performance Will Shape Near-Term Outlook

Analysts have modestly increased their price target for Manulife Financial to approximately $49.13. They cite ongoing sector headwinds and recent results that have broadly met or exceeded expectations as reasons for this adjustment.
Mise à jour du récit Oct 17

Expanding Asia And US Markets Will Shape The Future

Analysts have updated their price target for Manulife Financial to $48.20. This is a modest increase that reflects ongoing sector tailwinds and the company’s better-than-expected earnings performance.
Article d’analyse Aug 19

Analyst Forecasts Just Became More Bearish On Manulife Financial Corporation (TSE:MFC)

The latest analyst coverage could presage a bad day for Manulife Financial Corporation ( TSE:MFC ), with the analysts...
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Nouveau récit Nov 10

Dynamic Growth In Asia And Digital Transformation Fueling Strong Revenue And Margin Expansion

Manulife's growth in Asia and digital transformations enhance revenue, efficiency, and operational margins, benefiting future earnings.

Prévisions de croissance des bénéfices et des revenus

TSX:MFC - Estimations futures des analystes et données financières antérieures (CAD Millions )
DateRecettesLes revenusFlux de trésorerie disponibleCash from OpMoy. Nombre d'analystes
12/31/202855,4068,417N/A29,4142
12/31/202752,5437,843N/A32,1942
12/31/202649,8286,630N/A29,8952
3/31/202632,0295,91228,77128,771N/A
12/31/202530,9755,25132,10532,105N/A
9/30/202531,9145,39230,80930,809N/A
6/30/202531,2535,43428,79028,790N/A
3/31/202530,0234,69128,78828,788N/A
12/31/202429,9925,07426,49426,494N/A
9/30/202430,0815,09725,53425,534N/A
6/30/202428,4844,27323,52323,523N/A
3/31/202427,4754,20722,04422,044N/A
12/31/202327,2464,80020,42320,423N/A
9/30/202325,9694,05819,13919,139N/A
6/30/202324,9413,53918,14218,142N/A
3/31/202320,55448317,06417,064N/A
12/31/202216,911-2,19316,62816,628N/A
9/30/202236,513-99818,48118,481N/A
6/30/202244,89711720,80120,801N/A
3/31/202266,6994,87821,78321,783N/A
12/31/202159,8416,89023,15523,155N/A
9/30/202156,1236,61422,62022,620N/A
6/30/202153,5707,08520,75120,751N/A
3/31/202155,3775,18719,17019,170N/A
12/31/202077,1215,70020,04820,048N/A
9/30/202070,3685,14819,50419,504N/A
6/30/202079,6283,80220,10520,105N/A
3/31/202074,3434,55021,40021,400N/A
12/31/201977,8225,430N/A20,542N/A
9/30/201975,2194,795N/A19,620N/A
6/30/201960,6225,646N/A19,702N/A
3/31/201952,0705,432N/A19,251N/A
12/31/201837,2644,632N/A19,188N/A
9/30/201845,0592,436N/A19,588N/A
6/30/201848,9591,971N/A18,544N/A
3/31/201851,9011,969N/A18,454N/A
12/31/201756,7201,945N/A17,791N/A
9/30/201737,1693,621N/A17,482N/A
6/30/201739,6913,638N/A18,098N/A
3/31/201743,7223,089N/A17,474N/A
12/31/201651,8972,796N/A17,017N/A
9/30/201666,1952,983N/A16,314N/A
6/30/201658,8312,493N/A11,860N/A
3/31/201639,3492,397N/A11,036N/A
12/31/201533,4482,075N/A10,374N/A
9/30/201538,6662,470N/A9,440N/A

Prévisions de croissance des analystes

Taux de revenus par rapport au taux d'épargne: La croissance des bénéfices prévue de MFC ( 10% par an) est supérieure au taux d'épargne ( 3% ).

Bénéfices vs marché: Les bénéfices de MFC ( 10% par an) devraient croître plus lentement que le marché Canadian ( 10.9% par an).

Croissance élevée des bénéfices: Les bénéfices de MFC devraient augmenter, mais pas de manière significative.

Chiffre d'affaires vs marché: Le chiffre d'affaires de MFC ( 13.2% par an) devrait croître plus rapidement que le marché Canadian ( 4.7% par an).

Croissance élevée des revenus: Le chiffre d'affaires de MFC ( 13.2% par an) devrait croître plus lentement que 20% par an.


Prévisions de croissance du bénéfice par action


Rendement futur des capitaux propres

ROE futur: Le retour sur capitaux propres de MFC devrait être faible dans 3 ans ( 17.8 %).


Découvrir les entreprises en croissance

Analyse de l'entreprise et données financières

DonnéesDernière mise à jour (heure UTC)
Analyse de l'entreprise2026/07/12 21:41
Cours de l'action en fin de journée2026/07/10 00:00
Les revenus2026/03/31
Revenus annuels2025/12/31

Sources de données

Les données utilisées dans notre analyse de l'entreprise proviennent de S&P Global Market Intelligence LLC. Les données suivantes sont utilisées dans notre modèle d'analyse pour générer ce rapport. Les données sont normalisées, ce qui peut entraîner un délai avant que la source ne soit disponible.

PaquetDonnéesCadre temporelExemple de source américaine *
Finances de l'entreprise10 ans
  • Compte de résultat
  • Tableau des flux de trésorerie
  • Bilan
Estimations consensuelles des analystes+3 ans
  • Prévisions financières
  • Objectifs de prix des analystes
Prix du marché30 ans
  • Cours des actions
  • Dividendes, scissions et actions
Propriété10 ans
  • Actionnaires principaux
  • Délits d'initiés
Gestion10 ans
  • L'équipe dirigeante
  • Conseil d'administration
Principaux développements10 ans
  • Annonces de l'entreprise

* Exemple pour les titres américains ; pour les titres non américains, des formulaires réglementaires et des sources équivalentes sont utilisés.

Sauf indication contraire, toutes les données financières sont basées sur une période annuelle mais mises à jour trimestriellement. C'est ce qu'on appelle les données des douze derniers mois (TTM) ou des douze derniers mois (LTM). En savoir plus.

Modèle d'analyse et flocon de neige

Les détails du modèle d'analyse utilisé pour générer ce rapport sont disponibles sur notre page Github, nous proposons également des guides pour apprendre à utiliser nos rapports et des tutoriels sur YouTube.

Découvrez l'équipe de classe mondiale qui a conçu et construit le modèle d'analyse Simply Wall St.

Indicateurs de l'industrie et du secteur

Nos indicateurs de secteur et de section sont calculés toutes les 6 heures par Simply Wall St. Les détails de notre processus sont disponibles sur Github.

Sources des analystes

Manulife Financial Corporation est couverte par 31 analystes. 11 de ces analystes ont soumis les estimations de revenus ou de bénéfices utilisées comme données d'entrée dans notre rapport. Les soumissions des analystes sont mises à jour tout au long de la journée.

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