Manulife Financial logo

Manulife Financial

Stock
Stock
ISIN: CA56501R1064
Ticker: MFC
CA56501R1064
MFC

Price

Dividend metrics

Annual payout (TTM) 
€1.093
Yield (TTM) 
4.161%
Payout ratio 
57.04%
Payout frequency 
Quarterly
Dividend growth (3Y) 
10.83%
Next payment 
€0.27

Dividend history & forecast

€0.542

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
3.95%
+0.13%
€1.077
Forecasted
20.11.2025
19.12.2025
0.88%
-9.09%
€0.246
Announced
20.08.2025
19.09.2025
1.04%
-3.15%
€0.27
Paid
21.05.2025
19.06.2025
0.99%
-0.92%
€0.279
Paid
05.03.2025
19.03.2025
1.04%
+5.07%
€0.282
2024
4.34%
+6.94%
€1.075
Paid
20.11.2024
19.12.2024
0.88%
+1.43%
€0.268
Paid
21.08.2024
19.09.2024
1.13%
-2.67%
€0.264
Paid
21.05.2024
19.06.2024
1.11%
+0.06%
€0.272
Paid
27.02.2024
19.03.2024
1.22%
+8.86%
€0.271
2023
6.99%
+5.19%
€1.005
Paid
21.11.2023
19.12.2023
2.06%
-1.88%
€0.249
Paid
22.08.2023
19.09.2023
1.5%
+0.44%
€0.254
Paid
23.05.2023
19.06.2023
2.05%
+1.56%
€0.253
Paid
27.02.2023
20.03.2023
1.37%
+9.32%
€0.249
2022
5.58%
+21.02%
€0.956
Paid
21.11.2022
19.12.2022
1.42%
-8.29%
€0.228
Paid
22.08.2022
19.09.2022
1.43%
+2.82%
€0.248
Paid
24.05.2022
20.06.2022
1.47%
+1.56%
€0.242
Paid
22.02.2022
21.03.2022
1.27%
+5.19%
€0.238
2021
4.68%
+9.36%
€0.79
Paid
30.11.2021
20.12.2021
1.39%
+21.29%
€0.226
Paid
16.08.2021
20.09.2021
1.13%
-1.86%
€0.186
Paid
17.05.2021
21.06.2021
1.08%
+1.52%
€0.19
Paid
22.02.2021
19.03.2021
1.08%
+5.13%
€0.187
2020
5.79%
+7.01%
€0.722
Paid
20.11.2020
21.12.2020
1.37%
-0.47%
€0.178
Paid
14.08.2020
21.09.2020
1.43%
-2.81%
€0.179
Paid
15.05.2020
19.06.2020
1.68%
+1.57%
€0.184
Paid
24.02.2020
19.03.2020
1.31%
+5.81%
€0.181
2019
4.24%
+14.78%
€0.675
Paid
18.11.2019
19.12.2019
0.97%
+0.32%
€0.171
Paid
19.08.2019
19.09.2019
1.1%
+1.79%
€0.171
Paid
13.05.2019
19.06.2019
1.05%
+1.49%
€0.168
Paid
26.02.2019
19.03.2019
1.11%
+1.42%
€0.165
2018
3.88%
+3.32%
€0.588
Paid
19.11.2018
19.12.2018
1.15%
+11.69%
€0.163
Paid
20.08.2018
19.09.2018
0.93%
+2.08%
€0.146
Paid
14.05.2018
19.06.2018
0.89%
+4.86%
€0.143
Paid
20.02.2018
19.03.2018
0.9%
-1.03%
€0.136
2017
3.4%
+8.37%
€0.569
Paid
20.11.2017
19.12.2017
0.79%
-3.3%
€0.138
Paid
18.08.2017
19.09.2017
0.86%
-0.01%
€0.142
Paid
12.05.2017
19.06.2017
0.88%
-2.86%
€0.142
Paid
17.02.2017
20.03.2017
0.87%
+7.62%
€0.147
2016
4%
+12.59%
€0.525
Paid
18.11.2016
19.12.2016
0.87%
+5.84%
€0.136
Paid
12.08.2016
19.09.2016
1.08%
-1.74%
€0.129
Paid
13.05.2016
20.06.2016
1.02%
+1.34%
€0.131
Paid
22.02.2016
21.03.2016
1.04%
+15.84%
€0.129
2015
3%
+17.02%
€0.466
Paid
20.11.2015
21.12.2015
0.78%
-2.76%
€0.112
Paid
14.08.2015
21.09.2015
0.75%
-6.08%
€0.115
Paid
15.05.2015
19.06.2015
0.74%
+3.6%
€0.122
Paid
23.02.2015
19.03.2015
0.74%
+4.62%
€0.118
2014
2.71%
+5.82%
€0.399
Paid
21.11.2014
19.12.2014
0.72%
-0.89%
€0.113
Paid
15.08.2014
19.09.2014
0.73%
+28.93%
€0.114
Paid
09.05.2014
19.06.2014
0.64%
+5.11%
€0.0882
Paid
24.02.2014
19.03.2014
0.61%
-6%
€0.0839
2013
3.06%
-6.22%
€0.377
Paid
15.11.2013
19.12.2013
0.65%
-4.61%
€0.0893
Paid
16.08.2013
19.09.2013
0.72%
-1.77%
€0.0936
Paid
10.05.2013
19.06.2013
0.81%
-3.26%
€0.0953
Paid
15.02.2013
19.03.2013
0.88%
-0.95%
€0.0985
2012
4.46%
+5.97%
€0.402
Paid
16.11.2012
19.12.2012
1.04%
-2.68%
€0.0994
Paid
17.08.2012
19.09.2012
1.2%
+1.55%
€0.102
Paid
11.05.2012
19.06.2012
1.16%
+1.22%
€0.101
Paid
17.02.2012
19.03.2012
1.06%
+3.14%
€0.0994
2011
3.59%
-3.32%
€0.379
Paid
10.11.2011
19.12.2011
1.15%
+0.03%
€0.0964
Paid
19.08.2011
19.09.2011
0.95%
+3.95%
€0.0963
Paid
13.05.2011
20.06.2011
0.77%
-1%
€0.0927
Paid
18.02.2011
21.03.2011
0.71%
-3.98%
€0.0936
2010
3.22%
-19.5%
€0.392
Paid
12.11.2010
20.12.2010
0.85%
+0.93%
€0.0975
Paid
13.08.2010
20.09.2010
0.95%
-6.34%
€0.0966
Paid
14.05.2010
21.06.2010
0.75%
+8.82%
€0.103
Paid
22.02.2010
19.03.2010
0.67%
+10.43%
€0.0948
2009
3.83%
-22.64%
€0.487
Paid
13.11.2009
21.12.2009
0.69%
+4.36%
€0.0858
Paid
14.08.2009
21.09.2009
0.56%
-50.06%
€0.0822
Paid
15.05.2009
19.06.2009
1.13%
+6.79%
€0.165
Paid
23.02.2009
19.03.2009
1.46%
+0.95%
€0.154
2008
3.22%
+4.31%
€0.63
Paid
14.11.2008
19.12.2008
1.26%
-10.79%
€0.153
Paid
15.08.2008
19.09.2008
0.7%
+12.15%
€0.171
Paid
16.05.2008
19.06.2008
0.62%
-0.08%
€0.153
Paid
25.02.2008
19.03.2008
0.64%
-8.08%
€0.153
2007
2.19%
+17.81%
€0.604
Paid
15.11.2007
19.12.2007
0.59%
+6.97%
€0.166
Paid
16.08.2007
19.09.2007
0.55%
+0.92%
€0.155
Paid
11.05.2007
19.06.2007
0.55%
+20.43%
€0.154
Paid
22.02.2007
19.03.2007
0.5%
-2.6%
€0.128
2006
2.03%
+30.06%
€0.512
Paid
10.11.2006
19.12.2006
0.54%
+3.98%
€0.131
Paid
14.08.2006
19.09.2006
0.5%
-1.05%
€0.126
Paid
12.05.2006
19.06.2006
0.49%
+0.39%
€0.128
Paid
17.02.2006
20.03.2006
0.5%
+18.48%
€0.127
2005
1.95%
+33.39%
€0.394
Paid
10.11.2005
19.12.2005
0.48%
+1.87%
€0.107
Paid
12.08.2005
19.09.2005
0.49%
+5.21%
€0.105
Paid
13.05.2005
20.06.2005
0.52%
+23.33%
€0.10
Paid
18.02.2005
19.03.2005
0.46%
+2.77%
€0.0812
2004
1.85%
+16.91%
€0.295
Paid
12.11.2004
20.12.2004
0.47%
-4.21%
€0.079
Paid
12.08.2004
20.09.2004
0.49%
+23.88%
€0.0825
Paid
13.05.2004
21.06.2004
0.43%
-1.07%
€0.0666
Paid
13.02.2004
19.03.2004
0.46%
+1.35%
€0.0673
2003
1.08%
+26.59%
€0.253
Paid
13.11.2003
19.12.2003
0.56%
-7.45%
€0.0664
Paid
13.08.2003
19.09.2003
0.52%
+25.69%
€0.0717
Paid
13.05.2003
19.06.2003
-
-0.57%
€0.0571
Paid
12.02.2003
19.03.2003
-
+1.38%
€0.0574
2002
-
+16.16%
€0.20
Paid
13.11.2002
19.12.2002
-
+25.01%
€0.0566
Paid
13.08.2002
19.09.2002
-
-4.69%
€0.0453
Paid
13.05.2002
19.06.2002
-
-5.19%
€0.0475
Paid
13.02.2002
19.03.2002
-
+18.36%
€0.0501
2001
-
+16.8%
€0.172
Paid
13.11.2001
19.12.2001
-
+3.06%
€0.0423
Paid
13.08.2001
19.09.2001
-
-10.22%
€0.0411
Paid
11.05.2001
19.06.2001
-
+7.45%
€0.0458
Paid
16.02.2001
19.03.2001
-
+16.19%
€0.0426
2000
-
-
€0.147
Paid
16.11.2000
18.12.2000
-
-2.7%
€0.0367
Paid
23.08.2000
29.09.2000
-
+5.81%
€0.0377
Paid
31.05.2000
07.07.2000
-
-4.12%
€0.0356
Paid
16.03.2000
28.04.2000
-
-
€0.0371

Frequently asked questions

When does Manulife Financial pay dividends?

Manulife Financial's dividends are paid out in March, June, September, and December.

How often does Manulife Financial pay dividends?

On a quarterly basis.

What is the dividend yield of Manulife Financial?

The dividend yield is currently 4.16% and distributions have increased by 10.83% in the last 3 years.

When was Manulife Financial's last dividend payout date?

The last payment was made on 19.06.2025.

When do you have to have Manulife Financial in your portfolio to receive the last dividend?

If you had Manulife Financial in your securities account on 21.05.2025, you received the distribution.

How much was Manulife Financial's dividend in 2024?

Manulife Financial paid out a dividend of €1.075 in 2024.

How much was Manulife Financial's dividend in 2023?

Manulife Financial paid out a dividend of €1.005 in 2023.

When is the ex-dividend date for the next Manulife Financial's dividend?

To receive the next dividend, Manulife Financial must be booked in the securities account on 20.08.2025.

What is Manulife Financial's next dividend?

On 19.09.2025, €0.27 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 6.943% based on the previous financial year. The average dividend growth over the last 5 years is 9.763%.

1 Year

Strong growth6.943%

3 Year

Strong growth10.83%

5 Year

Strong growth9.763%

10 Year

Strong growth10.43%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
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