Manulife Financial Corp Pref 9 Class 1 (MFC_pi)

22.55 -0.05 (-0.22%)
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MFC_pi Balance Sheet

Total Current Assets
Name
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
75,414 75,517 75,700 76,569 80,849
Cash and Short Term Investments 26,151 28,675 26,746 24,629 25,072
Cash - - - - -
Cash & Equivalents 20,338 22,137 21,018 18,775 19,153
Short Term Investments - - - - -
Total Receivables, Net 1,201 190 404 325 2,583
Accounts Receivables - Trade, Net 145 190 404 325 1,448
Total Inventory - - - - -
Prepaid Expenses - - - - -
Other Current Assets, Total 48,062 46,652 48,550 51,615 53,194
875,574 835,874 851,311 862,122 848,941
Property/Plant/Equipment, Total - Net 2,591 2,704 2,711 2,839 1,878
Property/Plant/Equipment, Total - Gross 2,648 2,289 - - -
Accumulated Depreciation, Total -57 -411 - - -
Goodwill, Net 5,919 6,014 - - -
Intangibles, Net 4,391 10,428 10,310 10,499 4,505
Long Term Investments 328,966 309,730 314,893 324,826 317,263
Note Receivable - Long Term 1,056 1,135 - - -
Other Long Term Assets, Total 396,697 377,192 386,743 385,789 368,696
Other Assets, Total 114,270 113,303 114,828 118,744 126,266
19,892 3,297 3,078 3,018 17,191
Accounts Payable 2,831 2,687 2,480 2,405 -
Payable/Accrued - - - - -
Accrued Expenses - - - - -
Notes Payable/Short Term Debt - - - - -
Current Port. of LT Debt/Capital Leases 100 610 598 613 112
Other Current liabilities, Total 16,961 0 0 0 17,079
826,847 786,839 804,155 813,371 792,562
Total Long Term Debt 22,164 27,194 22,162 22,729 24,689
Long Term Debt 21,914 27,194 22,162 22,729 24,381
Capital Lease Obligations 250 308 - - -
Deferred Income Tax 1,697 1,694 1,609 1,648 2,774
Minority Interest 1,431 1,462 1,466 1,511 1,664
Other Liabilities, Total 24,307 41,275 51,446 52,570 23,029
48,727 49,035 47,156 48,751 56,379
Redeemable Preferred Stock, Total - - - - -
Preferred Stock - Non Redeemable, Net 2,499 2,499 2,499 2,499 2,499
Common Stock, Total 21,527 21,642 21,816 22,012 22,178
Additional Paid-In Capital 222 229 233 235 238
Retained Earnings (Accumulated Deficit) 4,819 4,097 4,027 4,009 27,010
Treasury Stock - Common - - - - -
ESOP Debt Guarantee - - - - -
Unrealized Gain (Loss) - - - - -
Other Equity, Total 19,660 20,568 18,581 19,996 4,454
875,574 835,874 851,311 862,122 848,941
1,806.04 1,818 1,842 1,850 1,858.19
- - - - -

* In Millions of CAD (except for per share items)

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