WKN: | 926517 |
ISIN: | CA56501R1064 |
Land: | Kanada |
Branche: | Finanzen |
Sektor: | Versicherung |
Weshalb die Manulife Financial-Aktie
ein B-Rating hat,
erfahren Sie im Performance-Check
vom 01. Oktober 2025 Info.
Rang | Datum | Vorjahr | Schluss | Performance |
---|---|---|---|---|
1 | 2019 | 12,13 | 18,10 | 49,22% |
2 | 2024 | 19,79 | 29,11 | 47,09% |
3 | 2005 | 16,75 | 24,42 | 45,79% |
4 | 2013 | 10,16 | 14,14 | 39,17% |
5 | 2004 | 12,65 | 16,75 | 32,41% |
6 | 2012 | 8,06 | 10,16 | 26,05% |
7 | 2003 | 10,50 | 12,65 | 20,48% |
8 | 2016 | 13,96 | 16,79 | 20,27% |
9 | 2023 | 16,63 | 19,79 | 19,00% |
10 | 2021 | 14,40 | 16,60 | 15,28% |
11 | 2009 | 11,04 | 12,52 | 13,41% |
12 | 2014 | 14,14 | 15,70 | 11,03% |
13 | 2007 | 25,33 | 27,21 | 7,42% |
14 | 2017 | 16,79 | 17,42 | 3,75% |
15 | 2006 | 24,42 | 25,33 | 3,73% |
16 | 2010 | 12,52 | 12,77 | 2,00% |
17 | 2022 | 16,60 | 16,63 | 0,18% |
18 | 2025 | 29,11 | 26,36 | -9,45% |
19 | 2015 | 15,70 | 13,96 | -11,08% |
20 | 2001 | 17,00 | 14,60 | -14,12% |
Rang | Datum | Vorjahr | Schluss | Performance |
---|---|---|---|---|
1 | 2008 | 27,21 | 11,04 | -59,43% |
2 | 2011 | 12,77 | 8,06 | -36,88% |
3 | 2018 | 17,42 | 12,13 | -30,37% |
4 | 2002 | 14,60 | 10,50 | -28,08% |
5 | 2020 | 18,10 | 14,40 | -20,44% |
6 | 2001 | 17,00 | 14,60 | -14,12% |
7 | 2015 | 15,70 | 13,96 | -11,08% |
8 | 2025 | 29,11 | 26,36 | -9,45% |
9 | 2022 | 16,60 | 16,63 | 0,18% |
10 | 2010 | 12,52 | 12,77 | 2,00% |
11 | 2006 | 24,42 | 25,33 | 3,73% |
12 | 2017 | 16,79 | 17,42 | 3,75% |
13 | 2007 | 25,33 | 27,21 | 7,42% |
14 | 2014 | 14,14 | 15,70 | 11,03% |
15 | 2009 | 11,04 | 12,52 | 13,41% |
16 | 2021 | 14,40 | 16,60 | 15,28% |
17 | 2023 | 16,63 | 19,79 | 19,00% |
18 | 2016 | 13,96 | 16,79 | 20,27% |
19 | 2003 | 10,50 | 12,65 | 20,48% |
20 | 2012 | 8,06 | 10,16 | 26,05% |