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Hafnia Limited (HAFN)

NYSE Mid Cap

Industrials › Transportation Services

$6.92
Market Cap: $3.5B
Data as of Dec 31, 2024

Price History

Feb 9, 2026 — Apr 4, 2026

Investment Snapshot

  • Trading 45% below Graham Number ($12.59) — significant margin of safety
  • Piotroski F-Score 6/9 — moderate financial health
  • Strong ROE of 33.6% with 27.0% net margin
  • Revenue growing at 7% annually

Hafnia Limited (HAFN) is a Industrials company operating in Transportation Services, listed on the NYSE , with a market capitalisation of $3.5 billion . Key value metrics: P/E ratio 4.5, P/B ratio 1.51, Piotroski F-Score 6 out of 9 (moderate financial health) .

Value Score

Key Metrics

P/E Ratio
4.50
1.51
EPS
$1.54
Div. Yield
PEG Ratio
P/S Ratio
EV/EBITDA
ROE
ROA
Gross Margin
Op. Margin
Net Margin
Debt/Equity
Current Ratio
Data sourced from SEC EDGAR and Polygon.io. Methodology. View more Industrials stocks →

Hafnia Limited — Fundamental Analysis Summary

Hafnia Limited (HAFN) is trading 45% below its Graham Number of $12.59 — a significant margin of safety by Benjamin Graham's standard. The stock carries a low trailing P/E ratio of 4.5x.

On financial health, HAFN shows a moderate Piotroski F-Score of 6/9, and strong return on equity of 33.6% (sector average: 5.5%), and manageable leverage with a debt-to-equity ratio of 0.45.

StockPik's composite Value Score for HAFN is 97/100 — placing it in undervalued territory. The score is built from ten fundamental signals: P/E, P/B, PEG ratio, P/S ratio, return on equity, gross margin, debt-to-equity, current ratio, dividend yield, and Piotroski F-Score.

HAFN reports a solid gross margin of 48.5% (sector average: 24.7%) and a strong operating margin of 28.1%.

HAFN shows revenue growing at 7% year-over-year, with earnings declining at 2%.

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