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Last Close
Dec 11 04:00PM ET
31.50
Dollar change
+0.06
Percentage change
0.19
%
Index- P/E15.14 EPS (ttm)2.08 Insider Own0.10% Shs Outstand1.76B Perf Week-2.45%
Market Cap55.18B Forward P/E10.87 EPS next Y2.90 Insider Trans0.00% Shs Float1.75B Perf Month-2.78%
Income3.74B PEG5.33 EPS next Q0.67 Inst Own52.06% Short Float0.45% Perf Quarter12.70%
Sales40.90B P/S1.35 EPS this Y4.94% Inst Trans-2.80% Short Ratio4.15 Perf Half Y22.09%
Book/sh18.06 P/B1.74 EPS next Y7.47% ROA0.60% Short Interest7.79M Perf Year52.99%
Cash/sh- P/C- EPS next 5Y2.84% ROE11.06% 52W Range20.09 - 33.07 Perf YTD42.53%
Dividend Est.1.15 (3.66%) P/FCF2.97 EPS past 5Y1.48% ROI8.05% 52W High-4.75% Beta1.08
Dividend TTM1.17 (3.71%) Quick Ratio- Sales past 5Y18.70% Gross Margin- 52W Low56.79% ATR (14)0.53
Dividend Ex-DateNov 20, 2024 Current Ratio88.82 EPS Y/Y TTM3.91% Oper. Margin16.93% RSI (14)46.82 Volatility1.40% 1.53%
Employees38000 Debt/Eq0.27 Sales Y/Y TTM9.03% Profit Margin9.15% Recom1.80 Target Price34.07
Option/ShortYes / Yes LT Debt/Eq0.27 EPS Q/Q87.87% Payout55.79% Rel Volume0.59 Prev Close31.44
Sales Surprise-61.21% EPS Surprise6.20% Sales Q/Q48.09% EarningsNov 06 AMC Avg Volume1.88M Price31.50
SMA20-2.25% SMA501.26% SMA20016.45% Trades Volume1,115,263 Change0.19%
Date Action Analyst Rating Change Price Target Change
Sep-05-24Initiated Barclays Equal Weight
May-09-24Upgrade National Bank Financial Sector Perform → Outperform
Feb-22-24Initiated Jefferies Buy
Dec-12-23Upgrade RBC Capital Mkts Sector Perform → Outperform
Jan-12-23Initiated Credit Suisse Neutral
Jul-27-22Upgrade Scotiabank Sector Perform → Sector Outperform
May-13-22Downgrade Canaccord Genuity Buy → Hold
May-12-22Downgrade BMO Capital Markets Outperform → Market Perform
Feb-03-22Resumed Barclays Overweight $36
Dec-16-21Downgrade CIBC Neutral → Sector Underperform
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Manulife Financial Corp. engages in the provision of financial services. It operates through the following segments: Asia, Canada, U.S., Global Wealth and Asset Management, and Corporate and Other. The Asia segment refers to insurance and insurance-based wealth accumulation products in Asia. The Canada segment offers insurance-based wealth accumulation products and banking services in Canada. The U.S. segment provides in-force long-term care insurance business and an in-force annuity business. The Global Wealth and Asset Management segment delivers fee-based wealth solutions to retail, retirement, and institutional customers. The Corporate and Other segment is involved in investment performance on assets backing capital, net of amounts allocated to operating segments, financing costs, costs incurred by the corporate office related to shareholder activities, property and casualty reinsurance business, and run-off reinsurance business lines. The company was founded in 1887 and is headquartered in Toronto, Canada.