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00945 MANULIFE-S
RT Nominal down234.600 -1.000 (-0.424%)
Latest  |  Final  |  Interim
Assets
2025/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
Investment Properties------------
Property, plant, equip. & others------------
Land & other Lease Assets------------
Intangible Assets10,825,000-2.054%11,052,00010,310,000----
Interests in Associates & JCEs------------
Financial Investments243,037,000-0.536%244,346,000237,680,000----
Derivative Financial Assets9,093,0004.915%8,667,0008,546,000----
Loans106,999,0000.539%106,425,000100,463,000----
Insurance Contract Assets183,00079.412%102,000145,000----
Reinsurance Contract Assets61,235,0003.762%59,015,00042,651,000----
Deferred Policy Acquisition Costs------------
Premiums Receivables------------
Other Prepayments & Receivables------------
Statutory Deposits------------
Other Deposits------------
Cash & Bank Balances23,773,000-7.817%25,789,00020,338,000----
Other Assets522,324,000-0.210%523,422,000455,441,000833,689,000917,643,000

977,469,000-0.138%978,818,000875,574,000833,689,000917,643,000
Liabilities
2025/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
Insurance Contract Liabilities397,487,0000.274%396,401,000367,996,000----
Investment Contract Liabilities14,071,0004.245%13,498,00011,816,000----
Reinsurance Contract Liabilities2,942,00010.229%2,669,0002,831,000----
Derivative Financial Liabilities13,609,000-4.512%14,252,00011,730,000----
Assets Sold under Agreements to Repurchase------------
Borrowings6,292,000-5.084%6,629,0006,071,000----
Insurance Payables------------
Other Payables------------
Other Liabilities491,815,000-0.121%492,409,000426,403,000785,463,000858,774,000

926,216,0000.039%925,858,000826,847,000785,463,000858,774,000
Equity
2025/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
  Share Capital27,058,000-1.035%27,341,00028,187,00028,838,00029,474,000
  Reserves22,022,000-6.809%23,631,00018,852,00018,038,00028,934,000
  Others0--0000
Shareholders' Funds49,080,000-3.712%50,972,00047,039,00046,876,00058,408,000
Non-controlling Interests1,398,000-1.619%1,421,0001,431,0001,427,0001,694,000
Others775,00036.684%567,000257,000(77,000)(1,233,000)

51,253,000-3.223%52,960,00048,727,00048,226,00058,869,000
Commitments and Contingent Liabilities
2025/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
2021/12
CAD(K$)
Commitments----15,367,00015,117,000----
Contingent Liabilities------------
Remarks:  Real time quote last updated: 22/08/2025 17:59
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service
Security Code
Company Name (Chi/Eng/Keywords)
Industry
Profit / (Loss) Attributable to Shareholders (K$)CAD 2,274,000
%Change19.182%
EPS / (LPS)CAD 1.230
NBV Per Share ($)CAD 28.812
A Member of HKET Holdings
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