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Manulife Financial Corp

MFC
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42.820USD
+0.310+0.73%
Close 08-24 16:00ET
71.19BMarket Cap
17.11P/E TTM

MFC Balance Sheet

You can check out the annual or quarterly balance sheets of Manulife Financial Corp here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Total equity
- Cash and cash equivalents
13.65%19.66B
-0.52%18.24B
8.58%19.67B
12.34%18.44B
7.70%17.30B
17.08%18.33B
20.63%18.12B
2.28%16.42B
2.54%16.06B
11.49%15.66B
5.02%15.02B
3.63%16.05B
-4.79%15.66B
-17.32%14.04B
-19.80%14.30B
-13.22%15.49B
4.57%16.45B
-7.18%16.99B
-13.46%17.83B
-13.55%17.85B
-21.79%15.73B
-4.45%18.30B
34.48%20.61B
51.04%20.65B
59.54%20.12B
60.29%19.15B
25.22%15.32B
14.58%13.67B
-4.71%12.61B
-9.56%11.95B
-3.68%12.24B
-0.46%11.93B
5.90%13.23B
13.27%13.21B
10.20%12.70B
-11.20%11.99B
-22.20%12.49B
-16.09%11.66B
-10.19%11.53B
-5.61%13.50B
34.51%16.06B
-9.76%13.90B
-23.86%12.84B
-10.18%14.30B
-6.72%11.94B
20.22%15.40B
35.71%16.86B
13.33%15.92B
-3.14%12.80B
6.71%12.81B
-7.41%12.42B
36.42%14.05B
0.64%13.21B
-3.46%12.01B
--13.42B
--10.30B
--13.13B
--12.44B
Non-current assets
Net Fixed Assets
----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--287.57M
--289.07M
--286.47M
--282.81M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
15.06%9.06B
14.42%9.16B
16.93%9.08B
1.86%7.84B
1.22%7.88B
5.59%8.00B
1.98%7.76B
1.78%7.70B
1.27%7.78B
-3.48%7.58B
-3.07%7.61B
1.60%7.56B
0.16%7.68B
4.90%7.85B
0.37%7.85B
-6.22%7.44B
-0.83%7.67B
-6.18%7.49B
0.09%7.83B
1.93%7.94B
-0.19%7.74B
8.37%7.98B
3.85%7.82B
2.31%7.79B
3.83%7.75B
-0.85%7.36B
-1.19%7.53B
0.05%7.61B
-3.43%7.46B
-4.15%7.43B
-2.69%7.62B
-1.12%7.61B
-1.83%7.73B
5.45%7.75B
1.82%7.83B
7.15%7.69B
4.86%7.87B
-1.89%7.35B
14.18%7.69B
4.54%7.18B
16.32%7.51B
16.01%7.49B
54.20%6.74B
43.73%6.87B
33.83%6.46B
29.84%6.46B
-9.55%4.37B
-3.90%4.78B
-5.41%4.82B
-3.34%4.97B
-5.78%4.83B
-3.17%4.97B
-6.83%5.10B
-5.19%5.14B
--5.12B
--5.13B
--5.47B
--5.42B
Total assets
9.80%780.98B
5.61%749.12B
9.86%755.44B
7.26%733.08B
6.91%711.25B
7.27%709.32B
6.35%687.66B
12.77%683.48B
4.86%665.27B
2.55%661.24B
3.87%646.61B
-1.79%606.10B
-1.23%634.45B
-3.16%644.82B
-14.05%622.53B
-14.89%617.12B
-8.41%642.39B
-4.94%665.83B
4.47%724.26B
8.06%725.07B
7.44%701.37B
19.15%700.43B
13.51%693.24B
8.93%670.96B
9.96%652.82B
1.55%587.87B
7.87%610.71B
7.98%615.95B
2.77%593.71B
0.80%578.91B
-2.47%566.16B
1.74%570.43B
1.08%577.70B
8.24%574.31B
5.87%580.51B
1.72%560.65B
2.43%571.54B
-2.21%530.59B
8.42%548.34B
7.25%551.16B
10.88%557.99B
-5.05%542.60B
9.13%505.74B
4.45%513.88B
2.92%503.24B
16.17%571.48B
-1.01%463.41B
3.27%492.00B
1.32%488.95B
-0.12%491.94B
-3.70%468.13B
-0.90%476.44B
-0.32%482.57B
4.89%492.54B
--486.12B
--480.79B
--484.11B
--469.59B
Liabilities
Current liabilities
Non-current liabilities
Long-term debt and lease liabilities
4.39%10.08B
-4.23%9.81B
8.67%10.81B
1.07%9.59B
-5.18%9.66B
4.68%10.25B
5.76%9.95B
1.21%9.49B
7.21%10.19B
-3.39%9.79B
1.96%9.41B
-5.66%9.37B
-6.13%9.50B
3.70%10.13B
-1.45%9.23B
3.51%9.93B
8.41%10.12B
-11.38%9.77B
-15.04%9.36B
-12.77%9.60B
-9.35%9.34B
32.60%11.02B
25.17%11.02B
13.53%11.00B
7.83%10.30B
-12.88%8.31B
-13.59%8.80B
-4.95%9.69B
-7.78%9.55B
-6.73%9.54B
-2.80%10.19B
-2.19%10.20B
-0.11%10.36B
1.49%10.23B
6.99%10.48B
3.86%10.43B
0.14%10.37B
10.74%10.08B
42.96%9.80B
56.76%10.04B
34.79%10.36B
3.16%9.10B
-7.98%6.85B
-17.42%6.40B
-2.74%7.68B
-0.61%8.83B
-10.80%7.45B
-8.43%7.75B
-8.24%7.90B
1.54%8.88B
-6.92%8.35B
-5.41%8.47B
-5.34%8.61B
-13.27%8.74B
--8.97B
--8.95B
--9.10B
--10.08B
-Long-term debt
4.39%10.08B
-4.23%9.81B
8.67%10.81B
1.07%9.59B
-5.18%9.66B
4.68%10.25B
5.76%9.95B
1.21%9.49B
7.21%10.19B
-3.39%9.79B
1.96%9.41B
-5.66%9.37B
-6.13%9.50B
3.70%10.13B
-1.45%9.23B
3.51%9.93B
8.41%10.12B
-11.38%9.77B
-15.04%9.36B
-12.77%9.60B
-9.35%9.34B
32.60%11.02B
25.17%11.02B
13.53%11.00B
7.83%10.30B
-12.88%8.31B
-13.59%8.80B
-4.95%9.69B
-7.78%9.55B
-6.73%9.54B
-2.80%10.19B
-2.19%10.20B
-0.11%10.36B
1.49%10.23B
6.99%10.48B
3.86%10.43B
0.14%10.37B
10.74%10.08B
42.96%9.80B
56.76%10.04B
34.79%10.36B
3.16%9.10B
-7.98%6.85B
-17.42%6.40B
-2.74%7.68B
-0.61%8.83B
-10.80%7.45B
-8.43%7.75B
-8.24%7.90B
1.54%8.88B
-6.92%8.35B
-5.41%8.47B
-5.34%8.61B
-13.27%8.74B
--8.97B
--8.95B
--9.10B
--10.08B
Total liabilities
10.06%741.77B
5.89%710.40B
10.20%716.77B
7.55%695.25B
7.25%673.95B
7.37%670.90B
6.52%650.46B
13.30%646.43B
4.85%628.37B
2.72%624.87B
4.11%610.62B
-0.86%570.55B
0.10%599.31B
-2.21%608.36B
-13.47%586.52B
-15.36%575.50B
-9.02%598.70B
-5.46%622.08B
4.04%677.80B
7.97%679.91B
7.44%658.09B
20.03%658.04B
13.72%651.50B
9.05%629.71B
10.13%612.50B
1.05%548.24B
7.98%572.89B
7.78%577.43B
2.45%556.18B
0.46%542.55B
-3.00%530.58B
1.80%535.74B
1.15%542.90B
8.32%540.08B
6.05%546.96B
1.40%526.27B
2.15%536.72B
-2.32%498.59B
8.43%515.76B
7.43%519.00B
10.91%525.43B
-5.27%510.43B
9.02%475.64B
4.32%483.11B
2.78%473.73B
16.25%538.81B
-1.22%436.28B
2.75%463.12B
0.88%460.90B
-0.76%463.47B
-4.17%441.67B
-1.12%450.74B
-0.20%456.85B
5.06%467.01B
--460.90B
--455.83B
--457.78B
--444.51B
Shareholders' equity
Common equity
-4.00%14.39B
-1.47%14.79B
1.94%14.96B
-4.16%14.59B
-4.19%14.99B
-5.09%15.01B
-8.65%14.67B
-3.99%15.23B
-4.79%15.64B
-4.93%15.82B
-4.04%16.06B
-5.57%15.86B
-8.69%16.43B
-6.79%16.64B
-9.20%16.74B
-10.89%16.79B
-3.37%18.00B
-6.19%17.85B
0.45%18.43B
5.68%18.85B
6.10%18.62B
15.61%19.03B
3.98%18.35B
0.79%17.83B
0.08%17.55B
-4.90%16.46B
0.69%17.65B
-0.53%17.69B
-2.01%17.54B
-4.25%17.31B
-5.33%17.53B
-2.51%17.79B
-2.00%17.90B
7.05%18.08B
5.11%18.51B
6.34%18.25B
2.89%18.26B
-6.02%16.88B
6.35%17.61B
-1.14%17.16B
0.87%17.75B
-5.91%17.97B
-0.55%16.56B
-5.88%17.36B
-6.73%17.60B
1.54%19.09B
-10.82%16.65B
-5.51%18.44B
-4.12%18.87B
-6.09%18.81B
-7.50%18.67B
-2.70%19.52B
-2.44%19.68B
-0.53%20.02B
--20.19B
--20.06B
--20.17B
--20.13B
Retained earnings
24.53%4.11B
24.52%3.67B
10.59%3.70B
1.84%3.63B
-0.68%3.30B
-15.40%2.95B
-5.95%3.35B
20.10%3.57B
10.78%3.32B
16.17%3.48B
20.75%3.56B
-84.63%2.97B
-85.11%3.00B
-84.76%3.00B
-84.10%2.95B
8.27%19.33B
19.62%20.15B
26.42%19.67B
24.67%18.54B
31.84%17.86B
37.82%16.84B
36.95%15.56B
27.23%14.87B
19.53%13.55B
8.62%12.22B
7.50%11.36B
21.94%11.69B
15.51%11.33B
24.50%11.25B
23.92%10.57B
19.48%9.59B
2.87%9.81B
0.01%9.04B
9.78%8.53B
8.06%8.02B
27.22%9.54B
25.43%9.04B
10.04%7.77B
23.19%7.43B
16.97%7.50B
14.32%7.20B
6.20%7.06B
-1.15%6.03B
-0.93%6.41B
5.93%6.30B
24.06%6.65B
26.38%6.10B
58.34%6.47B
74.89%5.95B
53.57%5.36B
47.85%4.83B
71.02%4.09B
16.90%3.40B
-0.64%3.49B
--3.26B
--2.39B
--2.91B
--3.51B
Capital reserves
-8.24%134.21M
-5.53%137.93M
2.29%146.60M
-4.31%142.81M
-4.18%146.26M
-7.69%146.00M
-12.58%143.32M
-10.13%149.23M
-12.10%152.64M
-10.02%158.16M
-7.75%163.95M
-14.27%166.05M
-15.34%173.65M
-12.83%175.77M
-14.06%177.72M
-8.06%193.70M
-1.12%205.12M
-4.15%201.65M
0.61%206.79M
6.25%210.67M
7.06%207.44M
17.14%210.37M
7.21%205.53M
2.89%198.29M
-0.89%193.76M
-8.70%179.59M
-4.13%191.71M
-7.79%192.72M
-7.10%195.49M
-7.86%196.70M
-9.28%199.97M
-7.02%209.00M
-6.90%210.43M
2.10%213.48M
2.01%220.42M
4.75%224.77M
2.50%226.02M
-6.05%209.08M
8.69%216.08M
3.33%214.58M
5.09%220.51M
-2.34%222.53M
-6.90%198.81M
-11.88%207.67M
-13.12%209.84M
-3.99%227.88M
-8.47%213.55M
-8.39%235.67M
-6.60%241.55M
-9.18%237.36M
-9.42%233.32M
0.89%257.24M
-0.69%258.62M
2.10%261.33M
--257.59M
--254.97M
--260.42M
--255.97M
Gains losses not affecting retained earnings
12.10%14.10B
-3.92%13.63B
1.90%13.36B
10.31%13.23B
6.76%12.58B
28.82%14.18B
28.55%13.11B
11.92%11.99B
21.86%11.78B
1.81%11.01B
-1.40%10.20B
2530.67%10.72B
10453.41%9.67B
591.16%10.81B
153.01%10.34B
-89.02%407.36M
-96.83%91.60M
-36.31%1.56B
-17.89%4.09B
-42.77%3.71B
-58.61%2.89B
-71.30%2.46B
2.32%4.98B
11.98%6.48B
40.52%6.98B
78.30%8.56B
3.81%4.87B
90.48%5.79B
23.29%4.97B
27.78%4.80B
44.14%4.69B
7.64%3.04B
4.55%4.03B
-5.90%3.76B
-20.06%3.25B
-37.71%2.82B
-16.04%3.86B
-2.72%3.99B
-18.93%4.07B
3.46%4.53B
52.75%4.59B
-1.74%4.10B
189.68%5.02B
234.37%4.38B
558.37%3.01B
263.15%4.18B
4032.11%1.73B
251.74%1.31B
205.24%456.66M
231.00%1.15B
103.53%41.92M
-115.91%-863.54M
-308.69%-433.94M
24.47%-878.04M
---1.19B
---399.96M
--207.93M
---1.16B
Other equity
18.62%668.90M
38.22%636.36M
54.61%615.88M
43.56%519.10M
104.71%563.92M
101.17%460.39M
109.88%398.34M
200.41%361.60M
2274.32%275.48M
326.66%228.86M
430.09%189.79M
111.42%120.37M
98.84%-12.67M
90.08%-100.97M
94.09%-57.50M
-11.92%-1.05B
-62.93%-1.09B
-57.16%-1.02B
-57.63%-973.16M
-55.55%-941.96M
-124.44%-671.77M
-135.99%-647.42M
-236.61%-617.37M
-861.62%-605.57M
-1095.19%-299.31M
-579.99%-274.34M
-358.57%-183.41M
-121.73%-62.97M
-70.33%30.08M
-57.44%57.16M
-59.66%70.93M
5.07%289.86M
-44.75%101.37M
-21.55%134.30M
-6.80%175.86M
119.84%275.86M
53.09%183.49M
28.67%171.20M
40.59%188.69M
-22.07%125.48M
-16.45%119.86M
15.52%133.05M
7.57%134.21M
89.32%161.02M
57.39%143.46M
15.75%115.18M
2.16%124.77M
3.42%85.05M
-51.49%91.15M
-34.73%99.51M
-16.54%122.13M
-34.72%82.24M
-20.10%187.91M
-42.93%152.45M
--146.34M
--125.99M
--235.19M
--267.10M
Non-controlling interests
16.92%1.19B
12.58%1.13B
12.98%1.13B
-1.37%1.11B
-0.88%1.02B
3.94%1.01B
-5.53%998.31M
5.71%1.12B
-6.06%1.03B
-14.35%967.93M
-0.82%1.06B
-13.36%1.06B
-17.72%1.09B
-14.33%1.13B
-20.30%1.07B
-8.74%1.22B
2.10%1.33B
4.51%1.32B
16.69%1.34B
25.27%1.34B
33.20%1.30B
52.32%1.26B
25.35%1.15B
23.31%1.07B
13.11%976.33M
4.24%828.68M
10.82%914.03M
1.69%867.98M
7.86%863.16M
4.29%794.98M
11.57%824.78M
23.00%853.55M
19.13%800.25M
31.62%762.30M
30.76%739.24M
28.56%693.96M
32.27%671.76M
17.96%579.15M
33.05%565.32M
24.33%539.80M
23.94%507.88M
19.46%490.97M
14.49%424.89M
6.76%434.16M
-11.68%409.77M
-2.34%411.00M
8.29%371.11M
30.44%406.66M
71.07%463.95M
55.16%420.85M
13.59%342.69M
-35.98%311.75M
-44.14%271.21M
6.38%271.23M
--301.69M
--486.95M
--485.52M
--254.96M
Total equity
5.14%39.21B
0.77%38.72B
3.93%38.67B
2.13%37.84B
1.09%37.29B
5.66%38.42B
3.40%37.21B
4.20%37.05B
4.97%36.89B
-0.27%36.36B
-0.07%35.98B
-14.59%35.56B
-19.55%35.14B
-16.66%36.46B
-22.50%36.01B
-7.82%41.63B
0.92%43.68B
3.21%43.75B
11.32%46.46B
9.48%45.16B
7.36%43.29B
6.95%42.39B
10.37%41.74B
7.09%41.25B
7.43%40.32B
9.00%39.64B
6.29%37.82B
11.02%38.52B
7.83%37.53B
6.26%36.37B
6.05%35.58B
0.90%34.70B
-0.07%34.80B
6.94%34.23B
2.97%33.55B
6.92%34.39B
6.95%34.83B
-0.53%32.00B
8.25%32.58B
4.53%32.16B
10.34%32.56B
-1.54%32.17B
10.93%30.10B
6.54%30.77B
5.19%29.51B
14.77%32.68B
2.54%27.13B
12.34%28.88B
9.12%28.06B
11.52%28.47B
4.93%26.46B
3.00%25.71B
-2.35%25.71B
1.78%25.53B
--25.22B
--24.96B
--26.33B
--25.08B
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FAQs

Which balance sheet metrics matter most when analyzing MFC stock?

Important metrics include cash and short-term investments, total assets, current assets, total liabilities, current liabilities, long-term debt, shareholders' equity, retained earnings, inventory, receivables, working capital, current ratio, quick ratio, debt-to-equity ratio, and return on equity. Investors usually review these together rather than relying on one number.

What is the difference between assets, liabilities, and shareholders' equity?

Assets are resources the company owns or controls, such as cash, receivables, inventory, investments, and property. Liabilities are obligations the company owes, such as accounts payable, debt, leases, and taxes. Shareholders' equity is the residual value after liabilities are subtracted from assets.

What is the difference between current and non-current items?

Current assets and current liabilities are generally expected to be converted, used, paid, or settled within one year or one operating cycle. Non-current assets and non-current liabilities are longer-term items, such as property, long-term investments, deferred tax assets, long-term debt, and lease obligations.

How Much Cash Does Manulife Financial Corp Have?

In its most recent quarterly, Manulife Financial Corp had 19.66B in cash and cash equivalents.

How Much Shareholders' Equity Does Manulife Financial Corp Have?

Manulife Financial Corp reported 38.67B in total shareholders' equity as of the latest reported quarter.
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