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Hafnia Ltd

HAFN
6.240USD
+0.140+2.30%
Close 02/06, 16:00ETQuotes delayed by 15 min
3.11BMarket Cap
9.86P/E TTM

Hafnia Ltd

6.240
+0.140+2.30%

More Details of Hafnia Ltd Company

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.

Hafnia Ltd Info

Ticker SymbolHAFN
Company nameHafnia Ltd
IPO dateNov 05, 2013
CEO- -
Number of employees4959
Security typeOrdinary Share
Fiscal year-endNov 05
Address10 Pasir Panjang Road
City
Stock exchangeNASDAQ OMX NASDAQ Basic NYSE
CountrySingapore
Postal code117438
Phone6564343770
Websitehttps://hafnia.com/
Ticker SymbolHAFN
IPO dateNov 05, 2013
CEO- -

Company Executives of Hafnia Ltd

Name
Name/Position
Position
Shareholding
Change
,
,
--
--
Name
Name/Position
Position
Shareholding
Change
,
,
--
--

Revenue Breakdown

Relevant data have not been disclosed by the company yet.
Relevant data have not been disclosed by the company yet.
By Business
By Region
Relevant data have not been disclosed by the company yet.

Shareholding Stats

Updated: Wed, Jan 14
Updated: Wed, Jan 14
Shareholders
Shareholder Types
Shareholders
Shareholders
Proportion
BW Group Limited
44.18%
Folketrygdfondet
6.04%
MHR Fund Management LLC
3.35%
Acadian Asset Management LLC
2.55%
The Vanguard Group, Inc.
2.12%
Other
41.75%
Shareholders
Shareholders
Proportion
BW Group Limited
44.18%
Folketrygdfondet
6.04%
MHR Fund Management LLC
3.35%
Acadian Asset Management LLC
2.55%
The Vanguard Group, Inc.
2.12%
Other
41.75%
Shareholder Types
Shareholders
Proportion
Holding Company
44.18%
Investment Advisor
11.42%
Investment Advisor/Hedge Fund
8.14%
Pension Fund
7.75%
Private Equity
3.36%
Research Firm
0.77%
Hedge Fund
0.60%
Corporation
0.42%
Individual Investor
0.40%
Other
22.96%

Institutional Shareholding

Updated: Thu, Jan 1
Updated: Thu, Jan 1
Reporting Period
No. of institutions
Shares Held
Proportion
Change
2025Q4
340
164.10M
32.01%
-17.42M
2025Q3
321
159.10M
31.04%
-15.58M
2025Q2
312
401.96M
78.42%
-145.23K
2025Q1
303
352.77M
68.83%
-48.45M
2024Q4
279
394.71M
77.01%
-25.42M
2024Q3
247
413.61M
80.70%
-91.10M
2024Q2
199
430.17M
84.28%
-27.99M
2024Q1
140
381.31M
74.71%
-66.75M
2023Q4
132
370.13M
72.52%
-70.04M
2023Q3
117
366.90M
72.33%
-64.16M
View more

Shareholder Activity

Name
Shares Held
Proportion
Change
Chg %
Date
BW Group Limited
226.44M
44.18%
--
--
May 31, 2025
Folketrygdfondet
30.97M
6.04%
-104.39K
-0.34%
May 31, 2025
MHR Fund Management LLC
17.19M
3.35%
+3.32M
+23.95%
Sep 30, 2025
Acadian Asset Management LLC
13.10M
2.55%
-937.62K
-6.68%
Sep 30, 2025
The Vanguard Group, Inc.
10.78M
2.1%
+209.60K
+1.98%
Sep 30, 2025
Arrowstreet Capital, Limited Partnership
10.74M
2.1%
+54.91K
+0.51%
Sep 30, 2025
DNB Asset Management AS
9.65M
1.88%
+3.24M
+50.43%
May 31, 2025
Storebrand Kapitalforvaltning AS
9.18M
1.79%
+287.62K
+3.24%
Nov 30, 2025
American Century Investment Management, Inc.
5.70M
1.11%
+636.54K
+12.57%
Dec 31, 2025
KLP Forsikringsservice AS
5.60M
1.09%
+944.86K
+20.31%
May 31, 2025
View more

Related ETFs

Updated: Sat, Dec 6
Updated: Sat, Dec 6
Name
Proportion
SonicShares Global Shipping ETF
4.14%
First Trust RiverFront Dynamic Europe ETF
1.35%
Wisdomtree International SmallCap Dividend Fund
0.64%
WisdomTree Dynamic International SmallCap Eq Fund
0.61%
Vident International Equity Strat ETF
0.49%
iShares Intl Developed Small Cap Value Factor ETF
0.34%
First Trust RiverFront Dynamic Developed Intl ETF
0.23%
Avantis International Small Cap Value ETF
0.23%
WisdomTree International High Dividend
0.14%
Invesco RAFI Developed Mkts ex-US SM ETF
0.09%
View more
SonicShares Global Shipping ETF
Proportion4.14%
First Trust RiverFront Dynamic Europe ETF
Proportion1.35%
Wisdomtree International SmallCap Dividend Fund
Proportion0.64%
WisdomTree Dynamic International SmallCap Eq Fund
Proportion0.61%
Vident International Equity Strat ETF
Proportion0.49%
iShares Intl Developed Small Cap Value Factor ETF
Proportion0.34%
First Trust RiverFront Dynamic Developed Intl ETF
Proportion0.23%
Avantis International Small Cap Value ETF
Proportion0.23%
WisdomTree International High Dividend
Proportion0.14%
Invesco RAFI Developed Mkts ex-US SM ETF
Proportion0.09%

Dividend

A total of 0.00 USD has been distributed in dividends over the past 5 years.
Date
Dividend
Record Date
Payment Date
Ex-dividend Date
No Data

Stock Splits

Date
Ex-dividend Date
Type
Ratio
No Data
Date
Ex-dividend Date
Type
Ratio
No Data
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