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Sun Life Financial Inc (SLF)

Sun Life Financial Inc (SLF)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Sun Life, being the third largest insurer in Canada & well diversified by geography and product, provides protection and wealth management products and services to individual and group customers worldwide. It reports its financial results through five business segments: SLF Canada, SLF U.S., MFS Investment Management, SLF Asia and Corporate. SLF Canada consists of Individual Insurance and Investments, Group Benefits and Group Retirement Services' and offers a full range of protection and wealth accumulation products and services to individuals and corporate clients. SLF U.S. consists of Employee Benefits Group, Annuities and Individual Insurance. The company, however, continues to provide high-quality service for these existing policyholders. MFS, a global asset management firm, offers a comprehensive range of financial products and services. The unit actively manages assets for retail and institutional investors around the world through mutual funds, separately managed accounts and retirement plans.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Sales 6,410,680 3,625,760 5,995,930 6,120,920 7,904,840
Sales Growth +76.81% -39.53% -2.04% -22.57% +838.79%
Net Income 390,690 600,310 851,480 531,410 697,100
Net Income Growth -34.92% -29.50% +60.23% -23.77% +479.37%
(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Total Assets 290,329,594 285,174,313 286,679,000 272,055,500 259,729,297
Total Assets Growth +1.81% -0.52% +5.38% +4.75% -4.00%
Total Liabilities 271,415,406 266,929,594 267,813,500 253,847,500 241,595,797
Total Liabilities Growth +1.68% -0.33% +5.50% +5.07% -3.93%
(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Operating Cash Flow 1,585,360 2,003,240 1,159,990 302,210 -266,020
Operating Cash Flow Growth -20.86% +72.69% +283.84% +213.60% -114.40%
Net Cash Flow -647,990 -254,070 -871,810 -1,772,800 -1,451,990
Change in Net Cash Flow -155.04% +70.86% +50.82% -22.09% -63.62%
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