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MFC · NYSE

Manulife Financial Corporation

Insurance - Life · Canada

USD 43.250.7% daily changeQuote 2026-10-06 · USD
Market cap (USD)
US$71.55B
Trailing P/E
16.20x
Forward P/E
12.33x
Quarterly revenue growth
10.7%
Trailing net margin
20.3%
Indicated dividend yield
3.1%

Snapshot 2026-10-06 · Latest financial period 2026-06-30 · Yahoo Finance. Quotes may be delayed; reporting periods can differ.

Next earnings: 2026-11-04 (provider estimate, not issuer-confirmed).

Company background

Manulife Financial Corporation, together with its subsidiaries, provides financial products and services in the United States, Canada, Asia, and internationally. It 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 the 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 the insurance agency, broker dealer, investment counseling, portfolio and mutual fund management, property and casualty insurance, and fund and investment management businesses. In addition, it provides integrated banking products and services, as well as offers asset management services. The company was incorporated in 1887 and is headquartered in Toronto, Canada.

Company website

Q1 2026

Go beyond the headline.

MFC Stock: Revenue Up 6% — Q1 2026 Earnings Analysis

Published 2026-05-14

Comparable businesses

MFC peer comparison

Same business group first, then company size. Preferred market cap: 0.5–2x; extended range: one-third–3x. Outside that range, industry benchmarks are labeled separately and excluded from peer medians.

Comparison stocks

Market metrics · missing or inapplicable values shown as —
MetricMFCManulife Financial CorporationSnapshot 2026-10-06Financial period: 2026-06-30AFLAflac IncorporatedSnapshot 2026-10-06Financial period: 2026-06-30PRUPrudential Financial, Inc.Snapshot 2026-10-06Financial period: 2026-06-30Peer medianSimilar-size peers only
Market capMarket value, converted to USDUS$71.55BUS$56.71BUS$39.47BUS$48.09Bn=2
Forward P/EProvider forward earnings estimate12.33x14.97x7.70x11.33xn=2
Revenue growthLatest quarter vs prior-year quarter10.7%-1.0%14.1%6.5%n=2
Trailing P/ETrailing twelve-month earnings16.20x12.16x10.36x11.26xn=2
Price / bookPrice / positive book equity per share1.97x1.87x1.25x1.56xn=2
EV / salesEnterprise value / trailing revenue————
Earnings growthLatest quarter vs prior-year quarter22.4%46.8%89.2%68.0%n=2
Gross marginTrailing twelve months————
Net marginTrailing twelve months20.3%26.9%6.0%16.5%n=2
Return on equityProvider trailing return; positive equity only13.3%16.9%12.0%14.5%n=2
Free cash flow marginTrailing free cash flow / revenue————
Dividend yieldIndicated annual dividend / price3.1%2.2%4.9%3.5%n=2
Earnings payoutProvider trailing dividend payout50.1%25.6%49.8%37.7%n=2
Current ratioCurrent assets / current liabilities————
BetaProvider historical market sensitivity0.740.560.840.70n=2

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Comparison methodology & limitations

Reviewed operating groups override broad sector classifications. Other companies are matched only within a sufficiently specific provider industry. Business mix, geography and accounting standards can still differ. Market caps are converted to USD using exchange rates captured during the snapshot refresh. Financial ratios that would mix currencies are omitted. Snapshots must be at most 14 days old and no more than seven days apart for automatic selection.

Peer medians require at least two valid similar-size peers for each metric. Negative earnings, nonpositive equity, missing data and irrelevant bank ratios are not presented as attractive valuations. A higher or lower number is not automatically a better investment. Financial statement periods are not calendar-aligned across companies.

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Earnings-multiple scenario

Illustrative price = your earnings-per-share assumption × your P/E assumption. This is not a price target or a complete valuation model.

Starting assumptions, when available, use provider forward estimates as of 2026-10-06. Negative earnings require a different valuation method. This calculation omits balance-sheet, dilution and execution risks.

THE RESEARCH RECORD

Research history for MFC

All available reporting periods
Q1 20262026-05-14

Reported figures

Verify material figures against company filings. Market data and AI-assisted analysis may contain errors.