Manulife Financial is one of the Big Three Canadian life insurers. The firm provides life insurance, annuities, and asset management products to individuals and group customers in Canada, the United States, and Asia. The Canadian business segment contributes approximately 22% of adjusted earnings. The Asia segment operates across 12 countries and contributes around 36% of earnings, with a significant presence in Hong Kong and Singapore. The US business, which primarily operates under the John Hancock brand, contributes about 23% of earnings and is one of the top 20 life insurers in the US. Manulife's global asset and wealth management business contributes approximately 20% of its earnings and had around CAD 1.03 trillion in assets under management and administration as of the end of 2024.
Quick Stats
Jan 30, 202665.8
AI Score
BUY1.22
Volume Ratio
Feb 11, 2026
Next Earnings
17
+ve Days (30d)
13
-ve Days (30d)
MFC Stock Summary
Last updated Jan 30, 2026
MFC is currently trading at $38.11, positioned above its 200-day moving average of $32.55, indicating a long-term uptrend. The stock has a 52-week range of $25.92 to $38.625.
Technical Analysis: The 50-day moving average stands at $36.17, which is below the current price, signaling bullish near-term momentum. The RSI (Relative Strength Index) reads 62.105, suggesting the stock is neutral with balanced momentum.
Money Flow Indicators: The Chaikin Money Flow (20-day) is 0.004, which is positive, indicating accumulation by institutional investors. Our AI-powered investment score rates MFC at 65.8/100 with a BUY recommendation.
MFC (Manulife Financial Corp.) Indicators
Last updated Jan 30, 2026
| Indicator | Value |
|---|---|
| RSI(14) | 62.105 |
| CMF (20) | 0.004 |
| ROC (10) | 1.356 |
| ADX (14) | 20.997 |
| Indicator | Value |
|---|---|
| MACD (12,26,9) | 0.495 |
| AROONOSC (14) | 28.571 |
| WILLAMS %R (14) | -22.246 |
| MFI (14) | 46.43 |
MFC Technical Chart
- Candlesticks: Green = price up, Red = price down. Body shows open/close, wicks show high/low.
- SMAs: Moving averages help identify trends. Price above SMA = bullish, below = bearish.
- Options OI: Shows max open interest strikes. High OI = significant price levels.
- Volume Profile: Shows price levels with most trading activity. POC = Point of Control (highest volume).
- Earnings: Vertical lines mark earnings dates. Watch for volatility around these dates.
- Gamma Walls: Key support/resistance from options gamma exposure. Orange = resistance above, Purple = support below.
- Fibonacci Retracement: Auto-calculated support/resistance levels based on recent high/low. Key levels: 23.6%, 38.2%, 50%, 61.8%, 78.6%.
- Unusual Activity: Highlights days with abnormal volume (2x+ average) or large price moves (5%+). Red marker = unusual activity detected.
Technical Indicators
Select indicators above to analyze technical patterns
Indicators will appear below the price chart with perfectly aligned datesVolume Profile Analysis
Horizontal histogram showing volume distribution at each price level with buying/selling pressure
MFC Price vs Max Options Open Interest
MFC Max Change In Options Open Interest
MFC Options - Sort by Max open Interest (near term)
2nd February 2026 (Data is delayed in normal mkt. hours)
| Type | Expiration | Strike | OI | Change in OI |
Volume | Ask | PC | Delta | Vega | Volatility | % change | Track |
|---|
MFC Daily Out of Money Options - Sort by Max open Interest (near term)
2nd February 2026 (Data is delayed in normal mkt. hours)
| Type | Expiration | Strike | OI | Change in OI |
Volume | Ask | PC | Delta | Vega | Volatility | % change | Track |
|---|
MFC Daily In the Money Options - Sort by Max open Interest (near term)
2nd February 2026 (Data is delayed in normal mkt. hours)
| Type | Expiration | Strike | OI | Change in OI |
Volume | Ask | PC | Delta | Vega | Volatility | % change | Track |
|---|
MFC Most Active Options by Volume(near term)
2nd February 2026 (Data is delayed in normal mkt. hours)
| Type | Expiration | Strike | Volume | OI | Change in OI |
Ask | PC | Delta | Vega | Volatility | % change | Track |
|---|
Manulife Financial Corp. is above both 50 Day and 200 Day SMA which is considered Bullish.
MFC Moving Averages Analysis
Manulife Financial Corp. has been above 50 day sma 1 times in last 30 days. Last time it was above 50 day sma was on Jan 30, 2026
Manulife Financial Corp. has been above 200 day sma 1 times in last 30 days. Last time it was above 200 day sma was on Jan 30, 2026
MFC (Manulife Financial Corp.) Simple Moving Averages
Moving Averages are last updated Jan 30, 2026
| Days | MA |
|---|---|
| 10 | 37.34 |
| 20 | 37.18 |
| 30 | 36.93 |
| 50 | 36.17 |
| 100 | 34.17 |
| 200 | 32.55 |
MFC Fundamental Analysis
| P/E (Forward) | 11.5075 |
| P/E (Trailing) | 16.7885 |
| Market Cap ($) | 64.2 billion |
| Earnings/Share ($) | 2.27 |
| Net Proft Margin (%) | 0.185 |
| Dividend/Share ($) | 1.72 |
| EPS Estimate Current Year ($) | 4.1481 |
| EPS Estimate Next Year ($) | 4.5402 |
| WallStreet Target Price ($) | 32.6493 |
| Most Recent Quarter |