Price
No data yet.
Social Signal Score
Revenue
$748.30M+67.96%Analyst Estimates
Consensus estimates, not results. Via Financial Modeling Prep.
Company Profile
- CEO
- Mikael Opstun Skov
- Sector
- Industrials
- Industry
- Marine Shipping
- Beta
- 0.12
- Country
- BM
- Piotroski score
- 6 / 9 (Middling)
- Altman Z-score
- 3.02
Financials
Revenue
$748.30M+68.0%Net Income
$176.44M-0.5%EBITDA
$240.09M-3.4%Free Cash Flow
$154.71MEPS (diluted)
$0.37-2.6%Shares Outstanding (diluted)
508.69M+9.2%Operating Expenses
$21.48MCash & Debt
$221.86MReturn of Capital
$102.87MDividend per Share
$0.24Quote
Valuation & Ratios
Returns & Efficiency
Revenue & Net Income (Annual)
| Fiscal Year | Revenue | Net Income | EPS |
|---|---|---|---|
| 2023 | $2.77B | $793.27M | $1.63 |
| 2022 | $1.83B | $751.59M | $1.57 |
| 2021 | $811.22M | $-55.49M | $-0.15 |
| 2020 | $874.10M | $148.78M | $0.41 |
| 2019 | $829.27M | $71.86M | $0.21 |
Valuation
Project earnings forward and see what return today's price implies.
Seeded from HAFNF's reported EPS growth of 66.9% a year over 4 years. Historical EPS growth of 67% reflects a recovery from a low base and won't persist. Capped at 30% as a starting point.
- EPS in 5 years
- $5.83
- Implied price
- $23.32
- Return from $7.92
- 24.1% a year
To earn 15.0% a year on these assumptions you'd need to buy at $11.60 — today's price is already 31.7% below that.
How sensitive is that answer?
Annual return across nearby assumptions. If the result is only attractive in one corner, that is the finding.
| growth \ P/E | 0 | 2 | 4 | 6 | 8 |
|---|---|---|---|---|---|
| 20.0% | — | -0.3% | 14.6% | 24.2% | 31.6% |
| 25.0% | — | 3.9% | 19.3% | 29.4% | 37.1% |
| 30.0% | — | 8.0% | 24.1% | 34.6% | 42.6% |
| 35.0% | — | 12.2% | 28.9% | 39.8% | 48.1% |
| 40.0% | — | 16.4% | 33.7% | 44.9% | 53.5% |
This is arithmetic on assumptions you chose, not a forecast or a recommendation. It ignores dividends, buybacks, share issuance and debt, and it assumes a company still earning money in 5 years. Change any input and the answer changes a lot — that sensitivity is the honest result, not a flaw in the model.
Signal Score (90d)
100Social Signal Score
Mentions (1)
- Newsbusinesswire.com·6h ago·Neutral
Hafnia's Q2 2026 Financial Results Presentation to Be Held on 28 August 2026 SINGAPORE--(BUSINESS WIRE)--Hafnia Limited (“Hafnia”, the “Company”, OSE ticker code: “HAFNI”, NYSE ticker code “HAFN”) will release its Q2 2026 results at approximately 07:30 CET on the 28th of August 2026. In connection with this release, Hafnia will hold an online investor presentation with Mikael Skov (CEO), Perry van Echtelt (CFO), Søren Skibdal Winther (VP), and Thomas Andersen (EVP). The details are as follows: D
View source ↗
Earnings
Typical surprise +11.5% (median, so one quarter with a near-zero estimate can't distort it)
- Mon, Nov 21$0.58 vs $0.52beat
- Fri, Aug 26$0.40 vs $0.36beat
- Mon, May 23$0.05 vs $0.01beat
Estimates and results for HAFNF via Financial Modeling Prep. Beating consensus says the company cleared the bar analysts set, not that the business grew.
