Business Description
Manulife Holdings Bhd
ISIN : MYL1058OO006
Total Employee Number:
531Compare
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Traded in other countries / regions
1058.Malaysia IPO Date
1984-08-30Description
Manulife Holdings Bhd is an investment holding company that is engaged in the business of life insurance business, management of unit trust funds, private retirement scheme funds, investment, and fund management. The company operates through Investment Holding, Life Insurance and Asset Management Services segments. The investment holding segment includes Investment holding operations and other segments; Life insurance segment includes underwriting of Participating life and Non-participating life insurance and unit-linked products; and Asset management services include asset management, unit trust, private retirement scheme funds. The group's principal revenue source is from the Life insurance business segment.
Financial Strength
7/10
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Cash-To-Debt | 111.66 | |||||
Equity-to-Asset | 0.19 | |||||
Debt-to-EBITDA | 0.02 | |||||
Interest Coverage | 1863.45 | |||||
Piotroski F-Score | 7/9 | |||||
Beneish M-Score | -2.7 | |||||
WACC vs ROIC | ||||||
Growth Rank
2/10
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
3-Year Revenue Growth Rate | 14.1 | |||||
3-Year EBITDA Growth Rate | 37.5 | |||||
3-Year EPS without NRI Growth Rate | 64.8 | |||||
3-Year FCF Growth Rate | 62.4 | |||||
3-Year Book Growth Rate | 5.6 |
Momentum Rank
2/10
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
5-Day RSI | 44.19 | |||||
9-Day RSI | 40.39 | |||||
14-Day RSI | 40.8 | |||||
3-1 Month Momentum % | 3.04 | |||||
6-1 Month Momentum % | 6.76 | |||||
12-1 Month Momentum % | 12.32 |
Liquidity Ratio
| Name | Current | Vs Industry | Vs History |
|---|
Dividend & Buy Back
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Dividend Yield % | 4.04 | |||||
Dividend Payout Ratio | 0.15 | |||||
3-Year Dividend Growth Rate | 4.6 | |||||
Forward Dividend Yield % | 4.04 | |||||
5-Year Yield-on-Cost % | 4.42 | |||||
3-Year Average Share Buyback Ratio | -2.3 | |||||
Shareholder Yield % | 3.99 |
Profitability Rank
4/10
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Net Margin % | 13.54 | |||||
EBITDA Margin % | 18.59 | |||||
FCF Margin % | 14.79 | |||||
OCF Margin % | 17.22 | |||||
ROE % | 8.9 | |||||
ROA % | 1.63 | |||||
ROIC % | 1.7 | |||||
3-Year ROIIC % | 5.8 | |||||
Years of Profitability over Past 10-Year | 10 |
GF Value Rank
7/10
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
PE Ratio | 4.14 | |||||
PE Ratio without NRI | 4.14 | |||||
Shiller PE Ratio | 6.97 | |||||
Price-to-Owner-Earnings | 1.23 | |||||
PEG Ratio | 0.2 | |||||
PS Ratio | 0.54 | |||||
PB Ratio | 0.35 | |||||
Price-to-Tangible-Book | 0.41 | |||||
Price-to-Free-Cash-Flow | 3.66 | |||||
Price-to-Operating-Cash-Flow | 3.15 | |||||
EV-to-EBIT | 1.32 | |||||
EV-to-EBITDA | 1.32 | |||||
EV-to-Revenue | 0.25 | |||||
EV-to-FCF | 1.66 | |||||
Price-to-GF-Value | 0.9 | |||||
Price-to-Projected-FCF | 0.34 | |||||
Price-to-Median-PS-Value | 1.05 | |||||
Price-to-Peter-Lynch-Fair-Value | 0.19 | |||||
Price-to-Graham-Number | 0.27 | |||||
Earnings Yield (Greenblatt) % | 75.76 | |||||
FCF Yield % | 27.15 | |||||
Forward Rate of Return (Yacktman) % | 28.18 |
Operating Revenue by Business Segment
Operating Revenue by Geographic Region
Historical Operating Revenue by Business Segment
Historical Operating Revenue by Geographic Region
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Performance
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Annualized Return % Â
Total Annual Return % Â
Manulife Holdings Bhd Executives
DetailsAnalyst Estimate
Key Statistics
| Name | Value | ||
|---|---|---|---|
| Revenue (TTM) (Mil RM) | 952.49 | ||
| EPS (TTM) (RM) | 0.541 | ||
| Beta | -0.1305 | ||
| 3-Year Sharpe Ratio | 0.1 | ||
| 3-Year Sortino Ratio | 0.16 | ||
| Volatility % | 10.31 | ||
| 14-Day RSI | 40.8 | ||
| 14-Day ATR (RM) | 0.021039 | ||
| 20-Day SMA (RM) | 2.2815 | ||
| 12-1 Month Momentum % | 12.32 | ||
| 52-Week Range (RM) | 1.99 - 2.4 | ||
| Shares Outstanding (Mil) | 231.63 |
Piotroski F-Score Details
Year:
| Component | Result | ||
|---|---|---|---|
| Piotroski F-Score | 7 | ||
| Positive ROA | |||
| Positive CFROA | |||
| Higher ROA yoy | |||
| CFROA > ROA | |||
| Lower Leverage yoy | |||
| Higher Current Ratio yoy | |||
| Less Shares Outstanding yoy | |||
| Higher Gross Margin yoy | |||
| Higher Asset Turnover yoy |
Manulife Holdings Bhd Filings
| Filing Date | Document Date | Form | ||
|---|---|---|---|---|
| No Filing Data | ||||
Manulife Holdings Bhd Stock Events
| Event | Date | Price (RM) | ||
|---|---|---|---|---|
| MYR 0.090000 Cash Dividend | 2026-06-26 | 2.36 (-0.42%) | ||
| MYR 0.080000 Cash Dividend | 2025-06-26 | 2.13 (+1.43%) |
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Manulife Holdings Bhd Frequently Asked Questions
What is Manulife Holdings Bhd(XKLS:1058)'s stock price today?
The current price of XKLS:1058 is RM2.24. The 52 week high of XKLS:1058 is RM2.40 and 52 week low is RM1.99.
When is next earnings date of Manulife Holdings Bhd(XKLS:1058)?
The next earnings date of Manulife Holdings Bhd(XKLS:1058) is .
Does Manulife Holdings Bhd(XKLS:1058) pay dividends? If so, how much?
The Dividend Yield %  of Manulife Holdings Bhd(XKLS:1058) is 4.04% (As of Today), Highest Dividend Payout Ratio of Manulife Holdings Bhd(XKLS:1058) was 0.74. The lowest was 0.14. And the median was 0.38. The  Forward Dividend Yield % of Manulife Holdings Bhd(XKLS:1058) is 4.04%. For more information regarding to dividend, please check our Dividend Page.
Press Release
| Subject | Date | |||
|---|---|---|---|---|
| No Press Release | ||||
Articles on Manulife Holdings Bhd
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