Investor Relations

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Investor Relations

Manulife Financial is a leading Canada-based financial services group with principal operations in Asia, Canada and the United States. Clients look to Manulife for strong, reliable, trustworthy and forward-thinking solutions for their most significant financial decisions. The Company is financially strong, with credit ratings among the highest in its industry. A proven history of financial strength and record earnings, superior investment performance and a strong management team position Manulife Financial well for future success.

As the financial services industry transforms and consolidates, we are committed to strong, sustained global growth. Manulife Financial's diverse international operations allow us to leverage our people, products, technology and expertise quickly and effectively into new markets. By anticipating the changing needs of our customers worldwide, we provide them with preferred financial products and services that best suit their needs. And, we ensure our multi-channel distribution network gives customers the products and services they want, when and how they want them. This commitment to excellence in customer service has earned us the distinction of industry leadership in the markets we serve. Developing high quality products and services will continue to be a growth driver for Manulife Financial. Manulife Financial embraces technology to continuously improve customer relationship management, product development, risk management and distribution systems.

The prospects for Manulife Financial's continued growth are promising. We believe our product excellence, multi-channel distribution strategy, technology and expansion will contribute to continued earnings growth for our shareholders.

To learn more about Manulife Financial, please view our fact sheets.

Financial Results

2015 Year-End Reports Q2 2016 Financial Results
(August 4, 2016)
Annual Meeting 2016
(May 5, 2016)


Deutsche Bank Global Financial Services Conference 
(June 1, 2016)

2016 Barclays Americas Select Franchise Conference 
(May 17, 2016)

Insurance Analytics Canada 2016
(May 12, 2016)

Key Financial Statistics* 2016 2015
Q2 Q1 Q4 Q3 Q2
Net income (loss) attributed to shareholders 704 1,045 246 622 600
Basic earnings (loss) per
common share
0.34 0.51 0.11 0.30 0.29
Diluted earnings (loss) per
common share
0.34 0.51 0.11 0.30 0.29
Premiums and deposits 36,799 37,877 40,837 34,957 43,723
Assets under management and administration 934,227 903,859 935,176 887,983 882,727
Return on common shareholders' equity (annualized) 7.1% 10.8% 2.3% 6.5% 6.4%
Market capitalization (at period end) 34,863 36,245 40,899 40,681 45,747
Common shares outstanding
(at period end, in millions)
1,973 1,972 1,972 1,971 1,971

All figures are in accordance with International Financial Reporting Standards "IFRS".

* Canadian $ in millions unless otherwise stated and per share information, unaudited.