Technical Analysis for MFC - Manulife Financial Corporation

Grade Last Price % Change Price Change
grade C 23.09 -2.16% -0.510
MFC closed down 2.16 percent on Thursday, May 23, 2019, on 74 percent of normal volume.

Trend Table & Recent Signals
ADX Long-Term Intermediate-Term Short-Term
Weak or Absent Up Down Down
See historical MFC trend table...

Date Alert Name Type % Chg
Gapped Down Weakness 0.00%
Fell Below 50 DMA Bearish -2.16%
NR7 Range Contraction -2.16%
Inside Day Range Contraction -2.16%
Crossed Above 50 DMA Bullish -2.98%
180 Bullish Setup Bullish Swing Setup -2.98%
Fell Below 50 DMA Bearish -0.69%
Crossed Above 50 DMA Bullish -2.33%
NR7 Range Contraction -2.33%
NR7-2 Range Contraction -2.33%

Older signals for MFC ...

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Basic chart:
Profile
Manulife Financial Corporation (MFC) is a holding company of The Manufacturers Life Insurance Company (MLI), which is a life insurance company, and John Hancock Reassurance Company Ltd. (JHRECO), which is a reinsurance company. The Company operates as a financial services company with principal operations in Asia, Canada and the United States. The Company's segments include Asia Division, Canadian Division, U.S. Division, and the Corporate and Other. The Company operates as Manulife in Canada and Asia and primarily as John Hancock in the United States. The product and service offerings under its Asia, Canadian and U.S. Divisions include Protection, Wealth and Asset Management, and Other Wealth. The Corporate and Other segment includes external asset management business, Property and Casualty (P&C) Reinsurance Business, and run-off reinsurance operations, including variable annuities, and accident and health.
Finance Economy S&P/Tsx 60 Index Financial Services Insurance Life Insurance Manulife Reinsurance
Is MFC a Buy, Sell or Hold?
Indicator Bull Case Neutral / Hold Bear Case
50 DMA
200 DMA
ADX Trend
Oversold / Overbought
Relative Strength
Summary: Counts: 1 bullish, 1 bearish and 3 neutral indicators. You may wish to incorporate that into your trading strategies.
Indicators
Indicator Value
52 Week High 25.2
52 Week Low 18.33
Average Volume 5,616,987
200-Day Moving Average 22.2598
50-Day Moving Average 23.69
20-Day Moving Average 24.0665
10-Day Moving Average 23.569
Average True Range 0.4727
ADX 19.19
+DI 19.6968
-DI 26.3148
Chandelier Exit (Long, 3 ATRs ) 23.7619
Chandelier Exit (Short, 3 ATRs ) 24.3681
Upper Bollinger Band 25.1997
Lower Bollinger Band 22.9333
Percent B (%b) 0.07
BandWidth 9.41724
MACD Line -0.139
MACD Signal Line 0.0032
MACD Histogram -0.1422
Fundamentals Value
Market Cap 45.67 Billion
Num Shares 1.98 Billion
EPS 1.83
Price-to-Earnings (P/E) Ratio 12.62
Price-to-Sales 1.30
Price-to-Book 1.29
PEG Ratio 0.82
Dividend 0.65
Dividend Yield 2.82%
Pivot Point Level Traditional / Classic Fibonacci Demark Woodie Camarilla
Resistance 4 (R4) 23.660
Resistance 3 (R3) 23.683 23.517 23.565
Resistance 2 (R2) 23.517 23.372 23.505 23.533
Resistance 1 (R1) 23.303 23.282 23.220 23.280 23.502
Pivot Point 23.137 23.137 23.095 23.125 23.137
Support 1 (S1) 22.923 22.992 22.840 22.900 22.678
Support 2 (S2) 22.757 22.902 22.745 22.647
Support 3 (S3) 22.543 22.757 22.615
Support 4 (S4) 22.520