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Hafnia Limited

HAFN
52
Marine Shipping · Industrials
Price
$7.51
-0.04 (-0.53%)
Market Cap
$3.75B
Exchange
New York Stock Exchange
Winston Score
52
Winston is curious
Mixed quality — meaningful strengths and weaknesses.
Data as of Aug 9, 2026 · filings through Mar 31, 2026

Share count rising — dilution

+38.8% over 4y

The company has issued more shares over this period, which dilutes each existing shareholder’s stake.

Diluted shares outstanding: 363.1M (2021) → 504.1M (2025)

Hafnia Limited is a large tanker shipping company that moves liquid products across the ocean. These products include refined fuels like gasoline, jet fuel, and diesel, as well as chemicals and vegetable oils. Its customers are oil companies, commodity traders, and chemical producers who need to ship bulk liquids between continents.

Hafnia earns money by charging customers to rent its tankers, either on short-term spot contracts or longer fixed-rate time charters. The company operates one of the world's largest fleets of product tankers, with vessels sailing globally across major trade routes connecting Asia, Europe, and the Americas. Its scale gives it a cost and logistics advantage over smaller operators. The main risk Hafnia faces is that shipping rates are highly cyclical — when global fuel demand drops or too many new tankers enter the market, freight rates can fall sharply, squeezing revenue and profits.

Winston Score History

Score breakdown

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Quality

Gross Margin
23.7%
Thin — 23.7% gross margin
Operating Margin
22.4%
Excellent — 22.4% operating margin
ROCE
4.3%
Weak — 4.3% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales YoY
-8.6%
Shrinking sales (-8.6% YoY)
EPS YoY
-24.6%
Earnings shrinking (-24.6% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

EPS Consistency
4/8 quarters
Earnings inconsistent quarter-to-quarter

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Cash Flow

Cash Conversion
127%
Turns 127% of profit into real cash
FCF Margin
18.3%
Converts sales into free cash efficiently (18.3%)

FCF margin between 10% and 20%. Every $100 in sales becomes $10 to $20 in real cash.

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Stability

Debt / Equity
0.38
Conservative — low debt load (0.38)
Interest Cover
8.73x
Comfortably covers interest (8.7x)

Interest coverage above 8. Profits cover interest many times over.

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Valuation

P/E Ratio (TTM)
8.2x
Attractive valuation — P/E 8.2

P/E under 10. The price tag is small relative to last year's profit.

P/E vs Forward
+2.7
GROWING
Earnings expected to grow — slightly cheaper on forward P/E

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Dividends

Dividend Yield
9.77%
Healthy income — 9.77% yield

Yield above 6% — often a flag the market is pricing in a cut.

Dividend Growth
-20.0%
Dividend cut (-20.0% YoY) — warning sign

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