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MFC (NYSE) Stock Analysis | MANULIFE FINANCIAL CORP – Deepscope
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MFC Stock Analysis — MANULIFE FINANCIAL CORP (Financial Services >> Insurance - Life)

MFC FAQ

What is MFC's P/E ratio?

MANULIFE FINANCIAL CORP (MFC) currently trades at a P/E ratio of 11.56.

What is MFC's ROE?

MANULIFE FINANCIAL CORP reports a Return on Equity (ROE) of 12.47%.

What is MFC's dividend yield?

MANULIFE FINANCIAL CORP offers a dividend yield of 4.11%.

What is MFC's Quality Score?

Our AI rates MFC's overall financial quality at 8 out of 100, based on profitability, growth, debt and earnings stability.

Is now a good time to buy MFC?

Our AI Timing Score for MFC is 91 out of 100, indicating the relative attractiveness of buying at the current price using technical and momentum signals.

Which sector does MFC belong to?

MANULIFE FINANCIAL CORP is classified under the Financial Services >> Insurance - Life sector on the NYSE exchange

Stock Check   *Daily update data at 8:30 AM*
(Price: 2026-07-31 | FS: 2026-03-31)

MFC AI Analysis Summary

Our AI summary for MFC: MANULIFE FINANCIAL CORP (NYSE), Financial Services >> Insurance - Life sector. The stock currently trades at a P/E of 11.56, ROE of 12.47%, a dividend yield of 4.11%. Its financial Quality Score stands at 8/100 — fundamentals below the market average. The AI Timing Score is 91/100 — multiple technical signals currently support price momentum. All scores are recomputed automatically after each market close from official exchange data. This is systematically generated analysis, not personalized investment advice.

MFC

MANULIFE FINANCIAL CORP
USD 44.44
-0.11 (-0.25%) Day Change
11.56
P/E
0.26
D/E
12.5%
ROE
0.6%
ROA
4.11%
Div Yield
-0.10
PEG
USD 44.44
Price
-0.11 (-0.25%)
Day Change
NEWS SCORE: 99

MFC, the overall quality is not good ( Quality = 8) but the timing to buy is ...(Sign In to See)...

8

QUALITY

Signal
UNDERPERFORM
Signal Description
Company financial health is Not Good
Reason
ROE is relatively low.
ROA is relatively low.
Acceleration of ROE growth rate is below our criteria.
Historical ROE is relatively low
Historical ROA is relatively low.
Acceleration of ROA growth rate is below our criteria.
Historical ROA is relatively low.
Historical ROA is relatively low.
Net profit margin is relatively low.
Net profit margin is relatively low.
Historical net profit margin is relatively low.
Historical net profit margin is relatively low.

88 Sign in

TIMING

Signal
OUTPERFORM
Signal Descri...
Good
Reason
Momentum indicators aligned on the daily timeframe
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In details, quality factors are not good , financial health is not quite good , and ability to make profit is not quite good , ...

Quality Factors 47%
X
X
X
X
  In Recommendations? Not in any sections
  Select Rate 0.00 From 30 days period
  Watch Rate 0.00 From 30 days period
  News Score 99
  Magic Formula Rank by ROA
2224
  Magic Formula Rank by ROE
2224
  Magic Formula Rank by ROIC
2252
  Price 44.44
  PBV / Sector
1.40 / 2.92
GOOD
  Earning Per Share 3.85
  PE / Sector
11.56 / 12.77
GOOD
  PEG or PE/Growth / Sector
-0.10 / 0.17
  Average 1M Daily Value
54.62 M
  Average 1W Daily Value
64.58 M
Timing Factors 57%
  MACD
  MACD Signal
  MACD Divergence
  RSI
  Stochastic Oscillator K
  Stochastic Oscillator D
  ADX
  Avg 5 day Timing Score
Financial Health 58%
X
X
X
X
  DE / Sector
  DE Average / Sector
  DE Change Average (%) / Sector
  Current Ratio / Sector
  Current Ratio Average / Sector
  Current Ratio Change Average (%) / Sector
  Quick Ratio / Sector
  Quick Ratio Average / Sector
  Quick Ratio Change Average (%) / Sector
  FCF/Share / Sector
  FCF/Share Average / Sector
  FCF/Share Change Average (%) / Sector
Ability to Make Profit 50%
X
X
X
X
X
X
X
  GPM (%) / Sector
  GPM Average (%) / Sector
  GPM Change Average (%) / Sector
  OPM (%) / Sector
  OPM Average (%) / Sector
  OPM Change Average (%) / Sector
  NPM (%) / Sector
8.09 / 11.31
  NPM Average (%) / Sector
-28.92 / 17.03
  NPM Change Average (%) / Sector
163.18 / 8.56
GREAT
  Asset Turnover / Sector
  Asset Turnover Average / Sector
  Asset Turnover Change Average (%) / Sector
  ROA (%) / Sector
0.63 / 11.16
  ROA Average (%) / Sector
0.43 / 3.94
  ROA Change Average (%) / Sector
-87.77 / 99.92
  ROE (%) / Sector
12.47 / 23.60
  ROE Average (%) / Sector
8.51 / 14.63
  ROE Change Average (%) / Sector
-100.45 / 6.68
  ROIC (%) / Sector
  ROIC Average (%) / Sector
  ROIC Change Average (%) / Sector
Return to Investors 54%
X
  Dividend (%) / Sector
4.11 / 1.43
GOOD
  Dividend Average (%) / Sector
4.72 / 2.62
GOOD
  Dividend Change Average (%) / Sector
-9.92 / -4.65
Registration Details
X
  Analyze Date 2026-08-01 08:00:09
  Symbol MFC
  Name MANULIFE FINANCIAL CORP
  Sector Financial Services >> Insurance - Life
  Market NYSE
  Listed Shares 1,665.67 M
  Par Value N/A
  Calculated From Quarter
  Sign N/A
  Market Cap (M.USD) / Sector Average 74,205.80 / 21,582.16
News, Concensus, ...
  Estimation Consensus See at WSJ.com
  Full details See at WSJ.com
  Chart See in Chart feature
  News See at Yahoo Finance

Address: 200 Bloor Street East, Toronto, ON, Canada, M4W 1E5

Phone: 416-926-3000

Website: https://www.manulife.com

Employees: 37,000

Sector: Financial Services >> Insurance - Life

Description: 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.

Analyst Ratings & Target Price

3 Months Ago
1 Month Ago
Current
Strong Buy
3
3
3
Buy
5
5
5
Hold
4
4
4
Sell
1
1
1
Strong Sell
0
0
0
Consensus
Buy 3.77
Buy 3.77
Buy 3.77
Target Price
USD 34.99
USD 39.15
USD 35.77

Per-Share Earnings, Estimates vs Actuals

Actual
Analyst Range
Estimate

ME vs SECTOR Financial Services >> Insurance - Life

MFC (ME)
Sector Peers
Bubble size = Market Cap

Click a bubble to view stock details  ·  Bubble size represents market capitalization share

Stocks in the Same Sector

Financial Services › Insurance - Life

Analysed on the same criteria, ordered by market cap

News

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MFC
MFC
USD 44.44 (-0.25%)
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