MFC logo

MANULIFE FINANCIAL CORP

MFCNYSE
πŸ† #214 by market capEarnings Nov 4US Equity
$43.16β–Ό $0.34 (βˆ’0.78%)
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24hβ–Ό 0.8%
7dβ–Ό 2.3%
14dβ–Ό 1.7%
30dβ–² 0.9%
ytdβ–² 18.9%
1yβ–² 39.2%
🏦Market Cap
$72.03B
Mid Cap
πŸ“ˆRevenue Growth (YoY)
+827.4%
High Growth
πŸ“ŠGross Margin
36.6%
Healthy
πŸ’΅FCF Margin
53.1%
Strong
βš–οΈP/S Ratio
1.8x
Cheap
Otter Score
80
Good

Trading Snapshot

Day Range
$42.62 – $43.88
52-Week Range
$30.75 – $45.33
Volume
$2.66B
Avg Volume
$1.96B
Shares Outstanding
1.67B
Next Earnings
Nov 10, 2026

Fundamentals Snapshot

Annual Revenue
$53.01B
Last Q Revenue
$19.71B
P/E Ratio
16.7
P/S Ratio
1.8x
EPS (TTM)
$4.03
Dividend Yield
3.05%
Dilution (1yr)
βˆ’4.0%

Why Investors Own MFC

  • βœ“High-growth profile β€” revenue up -9.7% YoY with expanding US Equity exposure.
  • βœ“Healthy economics β€” 47% gross margin and 12% free-cash-flow margin.
  • βœ“New products and segments could unlock additional revenue streams.
⚠️ Key Risks

Execution delays, intensifying competition, and valuation compression if growth decelerates.

MFC logo

MANULIFE FINANCIAL CORP

MFC
Financial Trends
RevenueThe total money the company brought in from sales, before subtracting any costs.
$53.0Bβ–Ό βˆ’827.4% YoY
Gross MarginOf every $1 of sales, how much is left after the direct cost of making the product/service. Higher = more efficient.
25.5%β–Ό βˆ’113.6% YoY
Operating IncomeProfit from the core business after operating costs, but before interest and taxes. Negative means the core business isn’t profitable yet.
$7.1Bβ–² +0.1% YoY
Free Cash FlowCash left over after running the business and paying for equipment/capex. Negative means the company is burning cash.
$32.1Bβ–² +21.1% YoY
Shares OutstandingHow many shares exist. Rising means the company is issuing more shares, which dilutes (shrinks) each existing owner’s slice.
1.71Bβ–Ό βˆ’4.0% YoY
Net CashCash minus total debt. Positive = more cash than debt (financially strong); negative = more debt than cash (net debt).
$237Mβ–Ό βˆ’$11.4B YoY
StockOtter Β· stockotter.space

About MANULIFE FINANCIAL CORP

Manulife Financial Corporation, known by its ticker MFC, is a multinational financial services organization that provides a wide range of financial products and solutions. Its operations span across Asia, Canada, the United States, and other international markets. The company's activities are organized into three primary divisions: 1. Wealth and Asset Management: This segment focuses on investment solutions, including mutual funds, exchange-traded funds, group-based retirement and savings programs, and asset management services for institutional clients. These offerings are distributed through the company's network of agents and brokers, independent securities firms, financial advisors, pension consultants, and banks. 2. Insurance and Annuity Products: This division offers a diverse portfolio of financial protection products. This includes deposit and credit services, individual life insurance, and both individual and group long-term care insurance. It also provides various annuity options, both fully and partially guaranteed. These products are sold via insurance agents, brokers, banking partners, financial planners, and direct marketing channels. 3. Corporate and Other: This segment encompasses property and casualty insurance, as well as reinsurance activities, including the management of legacy reinsurance portfolios such as variable annuities and accident and health. Additionally, it oversees timberland and agricultural investment portfolios. The segment also handles insurance agency operations, portfolio and mutual fund management, mutual fund dealing, life, annuity, long-term care, and financial reinsurance services, alongside general fund management. Furthermore, it holds, manages, and provides investment management, advisory, and dealer services. Founded in 1887, Manulife Financial Corporation is headquartered in Toronto, Canada.

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Otter Score Breakdown

How it's scoredFive components, each rated 1–5β˜… and equally weighted (20%), averaged to a 0–100 score:πŸ’Ž Quality β€” gross marginπŸš€ Growth β€” revenue YoYβš–οΈ Valuation β€” P/S ratio⚑ Momentum β€” 30-day price changeπŸ’§ Dilution β€” 1-yr share issuance (buybacks score higher)
πŸ’ŽQualityβ˜…β˜…β˜…β˜…β˜…
πŸš€Growthβ˜…β˜…β˜…β˜…β˜…
βš–οΈValuationβ˜…β˜…β˜…β˜…β˜…
⚑Momentumβ˜…β˜…β˜…β˜…β˜…
πŸ’§Dilutionβ˜…β˜…β˜…β˜…β˜…
Overall Score
Good
80/100

Analyst Price Target

β“˜
Average Target
$55.33
β–² +28.2% Upside
High Target$60.54
Low Target$48.23
Based on 17 analysts

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