- $2.08bn
- $2.91bn
- $2.87bn
- 82
- 99
- 19
- 74
Growth & Value
12m Forecast Rolling | Industry | Market | |
---|---|---|---|
PE Ratio (f) | 6.03 | ||
PEG Ratio (f) | n/a | ||
EPS Growth (f) | -42.05% | ||
Dividend Yield (f) | 13.64% |
Valuation (ttm) | Industry | Market | |
---|---|---|---|
Price to Book Value | 0.92 | ||
Price to Tang. Book | 0.92 | ||
Price to Free Cashflow | 2.12 | ||
Price to Sales | 0.72 | ||
EV to EBITDA | 2.85 |
Shareholder Activity
Type | Buy / Hold / Sell |
---|---|
Institutions | |
Directors | |
Community |
Guru Screens
Quality
Name | Industry | Market | |
---|---|---|---|
Return on Capital | 26.43% | ||
Return on Equity | 34.48% | ||
Operating Margin | 28.09% |
Financial Summary
Year End 31st Dec | Unit | 2020 | 2021 | 2022 | 2023 | 2024 | 2025E | 2026E | CAGR / Avg |
---|---|---|---|---|---|---|---|---|---|
Total Revenue | $m | 874.1 | 811.22 | 1,926.55 | 2,671.71 | 2,868.65 | 984.86 | 999.51 | 28.22% |
Operating Profit | m | ||||||||
Net Profit | m | ||||||||
EPS Reported | |||||||||
Diluted Normalised EPS | |||||||||
EPS Growth | % | +97.57 | n/a | n/a | -4.94 | -1.91 | -53.44 | +15.43 | n/a |
PE Ratio | x | ||||||||
PEG | |||||||||
Profitability | |||||||||
Operating Margin | % | ||||||||
ROA | % | ||||||||
ROCE | % | ||||||||
ROE | % | ||||||||
Cashflow | |||||||||
Op. Cashflow ps | |||||||||
Capex ps | |||||||||
Free Cashflow ps | |||||||||
Dividends | |||||||||
Dividend ps | |||||||||
Dividend Growth | % | ||||||||
Dividend Yield | % | ||||||||
Dividend Cover | x | ||||||||
Balance Sheet | |||||||||
Cash etc | m | ||||||||
Working Capital | m | ||||||||
NFA | m | ||||||||
Net Debt | m | ||||||||
Book Value | m | ||||||||
Diluted Weighted Average Shares | m | ||||||||
Book Value ps |
Other Ratios
Leverage (ttm) | Total | - Intang | + Pension |
---|---|---|---|
Gross Gearing | |||
Net Gearing | |||
Cash / Assets |
Liquidity (ttm) | |
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Curr. Ratio | |
Quick Ratio | |
Interest Cov. |
Efficiency (ttm) | |
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Asset Turnover | |
Recs Turnover | |
Stock Turnover |
Recent History
Latest interim period vs. prior period | Industry | Market | |
---|---|---|---|
Sales Growth | |||
EPS Growth |
3yr Compound Annual Growth Rate | Industry | Market | |
---|---|---|---|
Sales CAGR | |||
EPS CAGR | |||
DPS CAGR |
Profile Summary
Hafnia Limited is a tanker company. The principal activity of the Company is investment holding. The Company’s segments include Long Range II (LR2), Long Range I (LR1), Medium Range (MR), Handy, and Specialised. The LR2 segment consists of vessels between 85,000 deadweight tons (DWT) and 124,999 DWT in size and provides transportation of clean petroleum oil products. The LR1 segment consists of vessels between 55,000 DWT and 84,999 DWT in size and provides transportation of clean and dirty petroleum products. The MR segment consists of vessels between 40,000 DWT and 54,999 DWT in size. The Handy segment consists of vessels between 25,000 DWT and 39,999 DWT in size and provides transportation of clean and dirty oil products, vegetable oil, and easy chemicals. The Specialised segment consists of vessels between 5,000 DWT and 19,999 DWT in size. Its subsidiaries include Hafnia Pte. Ltd., Hafnia Tankers Marshall Islands LLC, Hafnia Holding Limited, and Hafnia Holding II Limited.
Directors
- Andreas Sohmen-Pao CHM (50)
- Mikael Skov CEO (57)
- Perry Van Echtelt CFO
- Erik Bartnes IND (62)
- Peter Read IND (65)
- Donald Ridgway IND
- Ouma Sananikone IND (63)
- Last Annual
- December 31st, 2024
- Last Interim
- December 31st, 2024
- Incorporated
- October 1st, 2024
- Public Since
- November 5th, 2013
- No. of Employees
- 5,040
- Sector
- Oil & Gas Related Equipment and Services
- Industry
- Energy
- Exchange
New York Stock Exchange
- Shares in Issue
- 502,924,476

- Address
- 10 Pasir Panjang Road, 117438
- Web
- https://hafnia.com/
- Phone
- +65 64343770
- Contact
- Thomas Andersen
- Auditors
- KPMG LLP
Upcoming Events for HAFN
Q1 2025 Hafnia Ltd Earnings Release
Half Year 2025 Hafnia Ltd Earnings Release
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FAQ
As of Today at 20:59 UTC, shares in Hafnia are trading at $4.25. This share price information is delayed by 15 minutes.
Shares in Hafnia last closed at $4.25 and the price had moved by -43.56% over the past 365 days. In terms of relative price strength the Hafnia share price has underperformed the S&P500 Index by -46.93% over the past year.
The overall consensus recommendation for Hafnia is Buy. You can view the full broker recommendation list by unlocking its StockReport.
Find out moreThe Hafnia dividend yield is 27.24% based on the trailing twelve month period.
Last year, Hafnia paid a total dividend of $1.16, and it currently has a trailing dividend yield of 27.24%. We do not have any data on when Hafnia is to next pay dividends.
We do not have data on when Hafnia is to next pay dividends. The historic dividend yield on Hafnia shares is currently 27.24%.
To buy shares in Hafnia you'll need a share-dealing account with an online or offline stock broker. Once you have opened your account and transferred funds into it, you'll be able to search and select shares to buy and sell. You can use Stockopedia’s share research software to help you find the the kinds of shares that suit your investment strategy and objectives.
As of the previous close price of $4.25, shares in Hafnia had a market capitalisation of $2.08bn.
Here are the trading details for Hafnia:
- Country of listing: United States
- Exchange: NYQ
- Ticker Symbol: HAFN
Based on an overall assessment of its quality, value and momentum Hafnia is currently classified as a Contrarian. The classification is based on a composite score that examines a wide range of fundamental and technical measures. Stock are classified on the the following spectrum: Super Stocks, High Flyers, Contrarians, Turnarounds, Neutral, Value Traps, Momentum Traps, Falling Stars, and Sucker Stocks. For more information, learn about our StockRank Styles.
The analyst consensus target price for shares in Hafnia is $5.87. That is 38.12% above the last closing price of $4.25.
Analysts covering Hafnia currently have a consensus Earnings Per Share (EPS) forecast of $0.67 for the next financial year.
Find out moreAn important predictor of whether a stock price will go up is its track record of momentum. Price trends tend to persist, so it's worth looking at them when it comes to a share like Hafnia. Over the past six months, its share price has underperformed the S&P500 Index by -29.07%.
As of the last closing price of $4.25, shares in Hafnia were trading -29.83% below their 200 day moving average. You can read more about the power of momentum in assessing share price movements on Stockopedia.
The Hafnia PE ratio based on its reported earnings over the past 12 months is 6.03. The shares last closed at $4.25.
The PE ratio (or price-to-earnings ratio) is the one of the most popular valuation measures used by stock market investors. It is calculated by dividing a company's price per share by its earnings per share.
The PE ratio can be seen as being expressed in years, in the sense that it shows the number of years of earnings which would be required to pay back the purchase price, ignoring inflation. So in general terms, the higher the PE, the more expensive the stock is.
Hafnia's management team is headed by:
- Andreas Sohmen-Pao - CHM
- Mikael Skov - CEO
- Perry Van Echtelt - CFO
- Erik Bartnes - IND
- Peter Read - IND
- Donald Ridgway - IND
- Ouma Sananikone - IND