MANULFE | MANULIFE HOLDINGS BERHAD [NS]

2.29 (-0.43%)
4 T-O (am): 0.000 (08:59:00)
Price updated as of: 16:51
Fundamental
Technical
Total Score

MANULFE | MANULIFE HOLDINGS BERHAD

MANULFE [NS] Fundamental Trend

FCON: | Sharpe Ratio: | LTS:


Chart:

MANULFE [NS] Quarter Reports

Select columns required and click "Update" to save your preferences

Ann. Date Qtr. Date Q FYE Revenue [M] PBT [M] NP [M] NPM DPS EPS R. QoQ R. YoY E. QoQ E. YoY TTM
EPS
Adj.
[M]
NP [M]
(adj)
NPM
(adj)
EPS
(adj)
E. QoQ
(adj)
E. YoY
(adj)
TTM EPS
(adj)
18 Nov 25 Q3 Sep 2025 3 31 Dec 2025 224.31 40.99 17.02 7.6% 0.00 7.41 12.9% 5.4% 60.5% 49.2%
20 Aug 25 Q2 Jun 2025 2 31 Dec 2025 198.64 58.70 43.14 21.7% 0.00 19.25 5.8% 1.1% 505.4% 156.7%
22 May 25 Q1 Mar 2025 1 31 Dec 2025 210.78 7.80 7.13 3.4% 0.00 3.12 2.1% 5.9% 69.5% 74.4%
20 Feb 25 Q4 Dec 2024 4 31 Dec 2024 206.51 33.39 23.35 11.3% 8.00 10.23 3.0% 15.1% 30.3% 34.0%
25 Nov 24 Q3 Sep 2024 3 31 Dec 2024 212.81 79.05 33.49 15.7% 0.00 15.06 6.0% 18.2% 99.3% 149.6%
21 Aug 24 Q2 Jun 2024 2 31 Dec 2024 200.76 30.96 16.80 8.4% 0.00 7.66 0.9% 22.3% 39.7% 8.2%
27 May 24 Q1 Mar 2024 1 31 Dec 2024 198.97 41.96 27.85 14.0% 0.00 12.69 10.9% 23.1% 21.3% 105.5%
26 Feb 24 Q4 Dec 2023 4 31 Dec 2023 179.46 47.54 35.38 19.7% 7.00 16.20 0.3% 63.1% 163.7% 644.4%
24 Nov 23 Q3 Sep 2023 3 31 Dec 2023 180.05 23.53 13.42 7.5% 0.00 6.15 9.7% 42.7% 13.6% 43.7%
22 Aug 23 Q2 Jun 2023 2 31 Dec 2023 164.13 20.99 15.53 9.5% 0.00 7.18 1.6% 15.8% 14.6% 3050.1%
26 May 23 Q1 Mar 2023 1 31 Dec 2023 161.56 21.08 13.55 8.4% 0.00 6.27 66.8% 41.1% 308.6% 1141.2%
22 Feb 23 Q4 Dec 2022 4 31 Dec 2022 486.38 -7.56 -6.50 -1.3% 7.00 -3.10 54.8% 26.3% 127.3% 134.1%
23 Nov 22 Q3 Sep 2022 3 31 Dec 2022 314.18 31.21 23.83 7.6% 0.00 11.20 61.3% 19.1% 4732.9% 15.0%
22 Aug 22 Q2 Jun 2022 2 31 Dec 2022 194.82 1.21 0.49 0.2% 0.00 0.23 28.9% 48.4% 54.9% 97.6%
31 May 22 Q1 Mar 2022 1 31 Dec 2022 274.09 4.98 1.09 0.4% 0.00 0.52 28.8% 23.2% 94.3% 95.8%
25 Feb 22 Q4 Dec 2021 4 31 Dec 2021 385.11 23.85 19.06 5.0% 7.00 8.98 0.8% 27.5% 8.0% 18.6%
29 Nov 21 Q3 Sep 2021 3 31 Dec 2021 388.16 25.09 20.72 5.3% 0.00 9.82 2.8% 4.6% 0.8% 210.5%
23 Aug 21 Q2 Jun 2021 2 31 Dec 2021 377.65 24.32 20.89 5.5% 0.00 10.10 5.7% 10.5% 20.6% 1994.0%
28 May 21 Q1 Mar 2021 1 31 Dec 2021 357.13 32.25 26.30 7.4% 0.00 12.70 32.8% 1652.5% 12.3% 167.4%
23 Feb 21 Q4 Dec 2020 4 31 Dec 2020 531.38 24.14 23.41 4.4% 7.00 11.31 30.6% 19.0% 250.8% 71.3%
25 Nov 20 Q3 Sep 2020 3 31 Dec 2020 406.82 6.71 6.67 1.6% 0.00 3.27 3.5% 58.4% 704.9% 184.7%
19 Aug 20 Q2 Jun 2020 2 31 Dec 2020 421.79 1.43 -1.10 -0.3% 0.00 -0.55 1969.8% 32.2% 111.2% 108.6%
21 May 20 Q1 Mar 2020 1 31 Dec 2020 20.38 13.50 9.84 48.3% 0.00 4.86 95.4% 94.1% 28.0% 31.4%
26 Feb 20 Q4 Dec 2019 4 31 Dec 2019 446.48 19.89 13.66 3.1% 7.00 6.75 73.8% 141.4% 273.4% 98.3%
25 Nov 19 Q3 Sep 2019 3 31 Dec 2019 256.83 -7.46 -7.88 -3.1% 0.00 -3.90 19.5% 27.9% 161.2% 196.1%
21 Aug 19 Q2 Jun 2019 2 31 Dec 2019 319.13 15.84 12.87 4.0% 0.00 6.36 7.3% 9.5% 71.9% 78.1%
24 May 19 Q1 Mar 2019 1 31 Dec 2019 344.45 10.12 7.48 2.2% 0.00 3.70 86.3% 14.2% 8.6% 12.6%
27 Feb 19 Q4 Dec 2018 4 31 Dec 2018 184.92 8.94 6.89 3.7% 7.00 3.40 7.9% 39.6% 16.0% 7.5%
20 Aug 18 Q2 Jun 2018 2 31 Dec 2018 200.72 12.18 8.20 4.1% 0.00 4.05 31.2% 37.7% 13.5% 11.9%
28 May 18 Q1 Mar 2018 1 31 Dec 2018 291.56 10.42 7.22 2.5% 0.00 3.57 27.4% 9.8% 8.7% 56.4%
26 Feb 18 Q4 Dec 2017 4 31 Dec 2017 401.49 10.96 6.64 1.6% 8.00 3.28 31.2% 76.7% 10.8% 76.4%
27 Nov 17 Q3 Sep 2017 3 31 Dec 2017 305.97 10.40 7.45 2.4% 0.00 3.68 5.0% 14.9% 19.9% 41.0%
23 Aug 17 Q2 Jun 2017 2 31 Dec 2017 322.12 12.81 9.31 2.9% 0.00 4.60 0.3% 25.0% 101.5% 66.4%
29 May 17 Q1 Mar 2017 1 31 Dec 2017 323.05 7.38 4.62 1.4% 0.00 2.28 42.1% 12.9% 83.6% 3986.7%
27 Feb 17 Q4 Dec 2016 4 31 Dec 2016 227.27 35.38 28.10 12.4% 10.50 13.88 14.7% 36.8% 122.3% 290.5%
28 Nov 16 Q3 Sep 2016 3 31 Dec 2016 266.27 17.65 12.64 4.8% 0.00 6.25 3.4% 26.1% 125.9% 20.8%
22 Aug 16 Q2 Jun 2016 2 31 Dec 2016 257.62 7.68 5.59 2.2% 0.00 2.76 10.0% 16.9% 4850.4% 30.2%
30 May 16 Q1 Mar 2016 1 31 Dec 2016 286.18 1.57 0.11 0.0% 0.00 0.06 20.4% 46.6% 98.4% 97.4%
24 Feb 16 Q4 Dec 2015 4 31 Dec 2015 359.67 11.01 7.20 2.0% 9.00 3.55 70.3% 59.0% 54.9% 56.1%
25 Nov 15 Q3 Sep 2015 3 31 Dec 2015 211.24 18.43 15.96 7.6% 0.00 7.89 4.1% 23.0% 99.2% 184.0%
20 Aug 15 Q2 Jun 2015 2 31 Dec 2015 220.30 11.95 8.01 3.6% 0.00 3.96 12.8% 27.3% 83.0% 2.6%
27 May 15 Q1 Mar 2015 1 31 Dec 2015 195.24 6.50 4.38 2.2% 0.00 2.16 13.7% 18.3% 73.3% 24.9%
24 Feb 15 31/12/14 4 31/12/14 226.18 21.62 16.39 7.2% 10.00 8.10 17.6% 31.5% 191.8% 12.0%

MANULFE [NS] Historical Dividends

MANULFE [NS] Financial Ratios

EPS 39.13 sen
Trailing PE (Sector Median: 9.2) 5.8
PEG 5.8
Altman Z 0.4
Beaver -0.006
Current Ratio 0.0
Debt-Equity (DE) Ratio 4.55
FCF Yield -7.54 %
Revenue QoQ 12.92 %
Revenue YoY 5.4%
Profit QoQ -60.55 %
Profit YoY -49.18 %
Profit Margin (Sector Median: 13.8) 10.79 %
ROE (ROIC: 6.3) 6.3 %
Dividend Per Share (DPS) 8.0 sen
Dividend Yield (DY) 3.49 %

MANULFE [NS] Adjusted Financial Ratios

Ratios below have been recalculated after adjusting for One Off Gain/Loss detected from Quarterly reports

EPS
Trailing PE (Sector Median: 9.2)
Profit QoQ
Profit YoY
Profit Margin (Sector Median: 13.8)
ROE (ROIC: 8.83)
Altman Z

MANULFE [NS] Fair Value

Weighted Average Fair Value:

Discounted Cash Flow (DCF) 5% Growth
Discounted Cash Flow (DCF) 10% Growth
Relative Valuation
Graham Formula
Graham Number
Net Tangible Asset (NTA) 6.21
Consistent QR FV
The Fair Value numbers are not, and must not be construed to be, any recommendation, offer or invitation to buy or sell any securities, futures contracts or any other instrument. The figures shown here should be taken as educational purposes only

Advanced Calculators

Calculate the fair value of the stock based on expected growth / risk, contract / award value, forecasted profit or forecasted revenue.

Forward PE FV Calculator
Latest Profit (adjusted) [M] 16.27
Expected Profit (Next QR) [M]
Expected Profit (After QR above) [M]
Expected Profit (After QR above) [M]
Estimated Fair Value
Growth/Risk Fair Value Calculator
Expected growth (%)
Estimated downside / risk (%)
Estimated New DCF Fair Value
Contract/Award Contribution Calculator
Contract/Award Value (in Million)
Estimated Contribution to Stock Price
Estimated New DCF Fair Value
Profit-Based Calculator
Expected Profit (M)
for Year
Estimated New DCF Fair Value
Revenue-Based Calculator
Expected Revenue (M)
for Year
Estimated New DCF Fair Value
Market Pricing
Expected Profit (M) 45.84
Expected Revenue (M) 1423.75
Expected Growth (%) 6.0
The Fair Value calculated using this calculators are not, and must not be construed to be, any recommendation, offer or invitation to buy or sell any securities, futures contracts or any other instrument. The purpose of this tool is to help investor to quickly calculate their own expected Fair Value based on their own research

MANULFE [NS] Directors Share Purchases (Beta)


No transaction in the last 2 months.

MANULFE [NS] Summary


Market Cap: 530 M.

Market Cap Class: Middlers

Number of Shares: 231 M.

Adjusted Float: 38.4%.

Stock highly correlated with

KFIMA (86%)

PTT (86%)

GCB (85%)

SIGN (85%)

Manulife Holdings Berhad, through its subsidiaries, is engaged in underwriting life insurance business in Malaysia. Its product portfolio covers a range of life protection, retirement planning, education planning, savings and investment, health and medical, and income protection needs. The company is also engaged in money lending and hire purchase, investment and fund management, and property rental and management businesses. It was formerly known as Manulife Insurance (Malaysia) Berhad and changed its name to Manulife Holdings Berhad in October 2008. The company was founded in 1963 and is based in Kuala Lumpur, Malaysia. Manulife Holdings Berhad is a member of Manulife Financial Corporation.

Sectors: Insurance, Financial Services

Code: 1058

Website: http://www.manulife.com.my/Home

Related Links: Bursa | Annual Report | Announcement

Warrant Info:

No warrants listed

MANULFE [NS] Top Shareholdings

Updated on 3-Apr-2023

Shareholder % Value (M)
Manulife Century Holdings (Netherlands) B.V. 63.31% 335.81
Manulife Century Holdings 61.64% 326.97
Public Mutual Fund 8.44% 44.77
Public Savings Fund 2.32% 12.31
Public Sector Select Fund 2.01% 10.66
Aberdeen Standard Asia Focus Plc 1.94% 10.29
Public Aggressive Growth Fund 1.6% 8.49
Employees Provident Fund Board 1.36% 7.21
Public Dividend Select Fund 1.33% 7.05
Public Growth Fund 1.31% 6.95
Public Balanced Fund 1.18% 6.26
Public Equity Fund 1.17% 6.21
Public Enhanced Bond Fund 1.03% 5.46
Public South-east Asia Select Fund 0.95% 5.04
Olive Lim Swee Lian 0.81% 4.3
Chai Beng Hwa 0.64% 3.39
Cheng Chien-Ming 0.49% 2.6
Fu Chen Shu-Chen 0.46% 2.44
Malaysian Timber Council 0.43% 2.28
Chua Eng Ho Wa'A @ Chua Eng Wah 0.43% 2.28
Yeoh Phek Leng 0.32% 1.7
Hsu Chun-Tsang 0.32% 1.7
DBS Bank 0.28% 1.49
Arshad Bin Ayub 0.26% 1.38
Lee Lak Chye @ Li Choy Hin 0.25% 1.33
Ng Poh Cheng 0.23% 1.22
Khor Meow Siang 0.23% 1.22
Wong Yu @ Wong Wing Yu 0.23% 1.22
Chan Shiek Chin @ Chan Shick Chin 0.18% 0.95
Yeo Khee Huat 0.18% 0.95
Frequently Asked Questions
Manulife Holdings Berhad, through its subsidiaries, is engaged in underwriting life insurance business in Malaysia. Its product portfolio covers a range of life protection, retirement planning, education planning, savings and investment, health and medical, and income protection needs. The company is also engaged in money lending and hire purchase, investment and fund management, and property rental and management businesses. It was formerly known as Manulife Insurance (Malaysia) Berhad and changed its name to Manulife Holdings Berhad in October 2008. The company was founded in 1963 and is based in Kuala Lumpur, Malaysia. Manulife Holdings Berhad is a member of Manulife Financial Corporation. The company is listed on Bursa Malaysia and operates in the Insurance and Financial Services sectors.
No, MANULIFE HOLDINGS BERHAD is not Shariah-compliant.
The latest share price of MANULIFE HOLDINGS BERHAD is RM 2.29 updated on 27 January 2026 16:51.
As of now, MANULIFE HOLDINGS BERHAD has a market capitalization of 530M based on the latest financial data.
iSaham's technical analysis indicates that MANULIFE HOLDINGS BERHAD's support level is at RM 2.22 and its resistance level is at RM 2.32, based on moving averages and price patterns.
The 52-week high for MANULIFE HOLDINGS BERHAD is RM 2.35
MANULIFE HOLDINGS BERHAD's share price has decreased by -0.87% year-to-date, influenced by market trends and company performance.
MANULIFE HOLDINGS BERHAD declared a dividend of 8.0 sen for the year 2025-11-18. View more details on MANULIFE HOLDINGS BERHAD's Historical Dividends page.
The main shareholders of MANULIFE HOLDINGS BERHAD include Manulife Century Holdings (Netherlands) B.V., Manulife Century Holdings and Public Mutual Fund. View more on MANULIFE HOLDINGS BERHAD Top Shareholders page.
You can buy MANULIFE HOLDINGS BERHAD shares through any licensed online broker or trading platform registered with Bursa Malaysia. If you're new to investing, iSaham can help you open an account with M+ Online, one of Malaysia's leading brokers.
When you open your M+ account through the iSaham team, you can get iSaham Pro for free as a bonus offer.
This calculator uses Malacca Securities (M+) cash upfront rate (min RM 8 or 0.08%) for all brokerage fee calculation.
This calculator uses Malacca Securities (M+) cash upfront rate (min RM 8 or 0.08%) for all brokerage fee calculation.