Manulife Financial Corp Pref 3 Class 1 (MFC_pf)

15.80 +0.13 (+0.83%)
Real-time Data CAD Disclaimer

MFC_pf Cash Flow Statement

Net Income/Starting Line
Cash From Investing Activities
Name
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
1,906 1,200 1,145 1,356 1,969
6,168 5,506 5,794 2,955 4,987
Depreciation/Depletion -659 -335 -331 138 -97
Amortization -447 - - - -
Deferred Taxes 565 -220 8 117 -538
Non-Cash Items 5,128 -897 423 4,938 425
Cash Receipts - - - - -
Cash Payments - - - - -
Cash Taxes Paid 185 47 73 131 -
Cash Interest Paid 390 365 464 329 412
Changes in Working Capital -424 5,538 4,557 -3,030 2,455
-6,180 -3,560 -27 -3,953 -4,802
Capital Expenditures - - - - -
Other Investing Cash Flow Items, Total -6,180 -3,560 -27 -3,953 -4,802
-1,584 -1,087 -2,113 -258 -1,898
Financing Cash Flow Items -328 -22 127 -686 789
Total Cash Dividends Paid -759 -720 -770 -723 -717
Issuance (Retirement) of Stock, Net -293 -397 -433 -378 -548
Issuance (Retirement) of Debt, Net -204 52 -1,037 1,529 -1,422
- - - - -
1,081 3,268 -1,245 -1,723 -
22,193 21,056 17,750 20,020 20,876
20,338 22,137 21,018 18,775 19,153
16,590.62 1,907.75 3,753.50 -10,006.62 -
769.64 -49.17 137.51 -135.84 -
11.45 12.03 12.35 6.30 10.77

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

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