Hafnia Ltd Dossier
Financial Snapshot
Revenue, profitability, returns, debt, and capital allocation
Revenue $2.9B+7.4% YoYTTM through 30 Jun 2025
Net Income $774M-2.4% YoYTTM through 30 Jun 2025
Free Cash Flow $980.8MTTM through 30 Jun 2025
Margins
| Current | |
|---|---|
| Operating Margin | 28.1% |
| Net Margin | 27.0% |
Returns
14.6%ROE
21.1%ROA
11.2%ROIC
Balance Sheet Health
Debt / Equity0.44x
Current Ratio1.48x
Net Debt$932M
Cash & Equivalents$313.3M
Quality Metrics
Piotroski F-Score5 / 9
FCF Margin34.2%
Earnings-Beat Rate100.0%
Multi-Year Trend
RevenueFY2024: $2.9B
Diluted EPSFY2024: $1.50
Dividend
$0.66Per share, FY202610.00%Yield1 yrsStreak
Capital Allocation
Capex Intensity1.7%
Segment Performance
No segment data available.
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