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00945 MANULIFE-S
RT Nominal up253.400 +3.400 (+1.360%)
Latest  |  Final  |  Interim
2024/06 - Interim
CAD(K$)
%Chg
(Compare to Interim)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
2020/12
CAD(K$)
Insurance Revenue13,012,00014.714%23,972,00023,118,000----
Interest Income----12,802,00012,063,000----
Turnover------------
Gross Premium Income--------44,344,00041,408,000
Net Premium Income--------39,065,00032,917,000
Investment Income/(Loss)9,005,000-9.697%5,219,000(11,726,000)11,624,00035,400,000
Net Realised Gains/(Losses) on Assets------------
Net Fair Value Gains / (Losses) on Assets------------
Other Income/(Loss)3,657,0008.131%6,746,0006,186,00011,132,00010,591,000

Total Revenues25,674,0003.956%48,739,00029,641,00061,821,00078,908,000
Insurance Service Expenses(10,544,000)13.694%(19,382,000)(19,335,000)----
Net Expenses from Reinsurance Contracts(453,000)36.036%(613,000)(623,000)----
Net Finance (Expenses)/Income from Insurance Contracts(9,081,000)20.887%(13,894,000)(6,616,000)----
Net Finance (Expenses)/Income from Reinsurance Contracts1,178,000--(734,000)309,000----
Net Impairment Loss------------
Other Expenses(4,138,000)9.761%(7,664,000)(6,514,000)(53,696,000)(72,137,000)
Other Non-operating Items0--0000
Share of results of Associates & JCEs0--0000

Profit / (Loss) before Taxation2,636,000-16.450%6,452,000(3,138,000)8,125,0006,771,000
Taxation(532,000)-7.317%(845,000)1,159,000(1,213,000)(1,195,000)
Profit / (Loss) for Discontinued Operations------------
Non-controlling Interests(94,000)17.500%(144,000)(121,000)(255,000)(250,000)
Others(102,000)45.714%(360,000)167,000448,000545,000

Profit/ (Loss) Attributable to Shareholders1,908,000-21.514%5,103,000(1,933,000)7,105,0005,871,000
2024/06 - Interim
CAD(K$)
%Chg
(Compare to Interim)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
2020/12
CAD(K$)
Depreciation & Amortisation------------
Directors' Emoluments------------
2024/06 - Interim %Chg
(Compare to Interim)
2023/12 2022/12 2021/12 2020/12
Auditor's Opinion StatusN/A--UnqualifiedUnqualifiedUnqualifiedUnqualified
Market Valuation Indicators
2024/06 - Interim %Chg
(Compare to Interim)
2023/12 2022/12 2021/12 2020/12
EPS (cts)97.000-21.138%262.000-115.000355.000294.000
DPS (cts)80.000--149.500135.500122.000112.000
Dividend Payout Ratio (%)82.474%--57.061%--34.366%38.095%
Cash flow per share ($)----11.1368.70611.92310.329
NBV per share ($)27.440--26.04525.13630.06626.973
Remarks:  Real time quote last updated: 15/11/2024 17:59
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service.
Security Code
Company Name (Chi/Eng/Keywords)
Industry
Profit / (Loss) Attributable to Shareholders ($)CAD 1,908,000,000
%Change-21.514%
EPS / (LPS)CAD 0.970
NBV Per Share ($)CAD 27.440
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