0945.HKHKSE
Manulife Financial Corporation
HK$322.00
ListedJan 4, 2000
SectorFinancial Services
IndustryInsurance — Life
CountryCanada
Employees37000
StateON| CityToronto| Address200 Bloor Street East| Phone416-926-3000
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.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
15.1
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Div. Rate
HK$10.51
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Div. Yield
3.53%
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Payout Ratio
52.02%
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Max Consec. Div. Years
26 years
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Longest Consec. Div.
25 years
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Div. Coverage
100%
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Div. Stability Rate
0.16
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Div. Growth Rate
100.00%
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Score
95

Dividend History

Historical dividend payments by ex-dividend date.

May 29, 2026
HK$ 2.7158
Feb 25, 2026
HK$ 2.7158
Nov 26, 2025
HK$ 2.4638
Aug 20, 2025
HK$ 2.4638
May 21, 2025
HK$ 2.4638
Mar 5, 2025
HK$ 2.4638
Nov 20, 2024
HK$ 2.2398
Aug 21, 2024
HK$ 2.2398
May 21, 2024
HK$ 2.2398
Feb 27, 2024
HK$ 2.2398
Nov 21, 2023
HK$ 2.0438
Aug 22, 2023
HK$ 2.0438
May 23, 2023
HK$ 2.0438
Feb 27, 2023
HK$ 2.0438
Nov 21, 2022
HK$ 1.8478
Aug 22, 2022
HK$ 1.8478
May 24, 2022
HK$ 1.8478
Feb 22, 2022
HK$ 1.8478
Nov 30, 2021
HK$ 1.8478
Aug 16, 2021
HK$ 1.5679
May 17, 2021
HK$ 1.5679
Feb 22, 2021
HK$ 1.5679
Nov 20, 2020
HK$ 1.5679
Aug 14, 2020
HK$ 1.5679
May 15, 2020
HK$ 1.5679
Feb 24, 2020
HK$ 1.5679
Nov 18, 2019
HK$ 1.3999
Aug 19, 2019
HK$ 1.3999
May 14, 2019
HK$ 1.3999
Feb 26, 2019
HK$ 1.3999
Nov 19, 2018
HK$ 1.3999
Aug 20, 2018
HK$ 1.2319
May 14, 2018
HK$ 1.2319
Feb 20, 2018
HK$ 1.2319
Nov 20, 2017
HK$ 1.1479
Aug 18, 2017
HK$ 1.1479
May 12, 2017
HK$ 1.1479
Feb 17, 2017
HK$ 1.1479
Nov 18, 2016
HK$ 1.0359
Aug 12, 2016
HK$ 1.0359
May 13, 2016
HK$ 1.0359
Feb 22, 2016
HK$ 1.0359
Nov 20, 2015
HK$ 0.9519
Aug 14, 2015
HK$ 0.9519
May 18, 2015
HK$ 0.9519
Feb 23, 2015
HK$ 0.8679
Nov 21, 2014
HK$ 0.8679
Aug 15, 2014
HK$ 0.8679
May 9, 2014
HK$ 0.7279
Feb 24, 2014
HK$ 0.7279
Nov 15, 2013
HK$ 0.7279
Aug 19, 2013
HK$ 0.7279
May 10, 2013
HK$ 0.7279
Feb 15, 2013
HK$ 0.7279
Nov 16, 2012
HK$ 0.7279
Aug 20, 2012
HK$ 0.7279
Jul 27, 2012
HK$ 0.7279
May 14, 2012
HK$ 0.7279
Feb 17, 2012
HK$ 0.7279
Nov 14, 2011
HK$ 0.7279
Aug 22, 2011
HK$ 0.7279
May 13, 2011
HK$ 0.7279
Feb 21, 2011
HK$ 0.7279
Nov 12, 2010
HK$ 0.7279
Aug 13, 2010
HK$ 0.7279
May 14, 2010
HK$ 0.7279
Feb 22, 2010
HK$ 0.7279
Nov 13, 2009
HK$ 0.7279
Aug 14, 2009
HK$ 0.7279
May 15, 2009
HK$ 1.4559
Feb 24, 2009
HK$ 1.4559
Nov 17, 2008
HK$ 1.4559
Aug 15, 2008
HK$ 1.4559
May 16, 2008
HK$ 1.3439
Feb 25, 2008
HK$ 1.3439
Nov 15, 2007
HK$ 1.3439
Aug 16, 2007
HK$ 1.2319
May 11, 2007
HK$ 1.2319
Feb 22, 2007
HK$ 1.1199
Nov 10, 2006
HK$ 1.1199
Aug 14, 2006
HK$ 0.9799
May 12, 2006
HK$ 0.9799
Feb 17, 2006
HK$ 0.9799
Nov 10, 2005
HK$ 0.8399
Aug 12, 2005
HK$ 0.8399
May 13, 2005
HK$ 0.8399
Feb 18, 2005
HK$ 0.7279
Nov 12, 2004
HK$ 0.7279
Aug 12, 2004
HK$ 0.7279
May 13, 2004
HK$ 0.5879
Feb 13, 2004
HK$ 0.5879
Nov 13, 2003
HK$ 0.5879
Aug 13, 2003
HK$ 0.5879
May 13, 2003
HK$ 0.5040
Feb 12, 2003
HK$ 0.5040
Nov 13, 2002
HK$ 0.5040
Aug 13, 2002
HK$ 0.3920
May 13, 2002
HK$ 0.3920
Feb 13, 2002
HK$ 0.3920
Nov 13, 2001
HK$ 0.3360
Aug 13, 2001
HK$ 0.3360
May 11, 2001
HK$ 0.3360
Feb 16, 2001
HK$ 0.3360
Nov 16, 2000
HK$ 0.2800
Aug 23, 2000
HK$ 0.2800
May 31, 2000
HK$ 0.2800
Mar 16, 2000
HK$ 0.2800

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