MANULIFE FINANCIAL CORPMFC
| 2017年 12月31日 | 2018年 12月31日 | 2019年 12月31日 | 2020年 12月31日 | 2021年 12月31日 | 2022年 12月31日 | 2023年 12月31日 |
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| Profit (loss) | 2,262 | 4,887 | 5,502 | 5,576 | 6,912 | 7,182 | 5,607 |
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| Other amortization | 560 | 747 | 626 | 656 | 529 | 538 | 581 |
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| Adjustments for deferred tax expense | -331 | 930 | -454 | 280 | -127 | 731 | 470 |
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| Stock option expense | 15 | 10 | 11 | 14 | 9 | 5 | 2 |
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| Cash provided by operating activities before undernoted items | 18,013 | 19,504 | 18,877 | 18,945 | 23,845 | 21,316 | 13,782 |
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| Changes in policy related and operating receivables and payables | 222 | 316 | -1,665 | -1,103 | 690 | 2,204 | -6,641 |
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| Cash provided by (used in) operating activities | 17,791 | 19,188 | 20,542 | 20,048 | 23,155 | 17,735 | 20,423 |
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| Purchases and mortgage advances | 87,224 | 101,172 | 80,610 | 111,981 | 120,965 | 111,768 | 84,021 |
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| Disposals and repayments | 70,720 | 82,111 | 65,333 | 98,850 | 96,728 | 93,407 | 70,281 |
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| Change in investment broker net receivables and payables | 227 | -128 | 1,159 | -1,017 | -186 | -67 | 21 |
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| Net cash increase (decrease) from sale (purchase) of subsidiaries | 10 | -187 | -288 | - | 19 | 182 | 1 |
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| Cash provided by (used in) investing activities | -16,287 | -19,002 | -13,830 | -14,148 | -24,442 | -18,610 | -13,720 |
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| Change in repurchase agreements and securities sold but not yet purchased | -29 | -189 | 266 | 24 | 186 | -551 | -693 |
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| Issue of capital instruments, net (note 10) | 2,209 | 597 | - | 1,990 | - | - | 1,194 |
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| Redemption of capital instruments (note 10) | 899 | 450 | 1,500 | 1,250 | 818 | 1,000 | 600 |
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| Secured borrowing from securitization transactions | 741 | 250 | 107 | 1,376 | 26 | 437 | 537 |
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| Change in deposits from Bank clients, net | 261 | 1,490 | 1,819 | -579 | -164 | 1,703 | -895 |
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| Lease payments | - | - | 117 | 134 | 124 | 120 | 98 |
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| Shareholders’ dividends and other equity distributions | 1,780 | 1,788 | 1,398 | 2,340 | 2,500 | 2,787 | 2,972 |
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| Contributions From (Distributions To) Noncontrolling Interests | 6 | -60 | -22 | -10 | -13 | -51 | -14 |
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| Common shares repurchased (note 11) | - | 478 | 1,339 | 253 | - | 1,884 | 1,595 |
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| Common shares issued, net (note 11) | 124 | 59 | 104 | 36 | 51 | 23 | 94 |
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| Cash provided by (used in) financing activities | 14 | -724 | -2,080 | 663 | -2,047 | -3,005 | -5,042 |
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| Increase (decrease) during the year | 1,518 | -538 | 4,632 | 6,563 | -3,334 | -3,880 | 1,661 |
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| Effect of exchange rate changes on cash and cash equivalents | -658 | 822 | -466 | -528 | -319 | 585 | -412 |
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| Interest received | 10,596 | 10,952 | 11,549 | 11,736 | 11,376 | 12,133 | 12,768 |
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| Interest paid | 1,118 | 1,212 | 1,299 | 1,188 | 981 | 1,248 | 1,548 |
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| Income taxes paid | 1,360 | 461 | 104 | 1,358 | 571 | 1,238 | 436 |
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