HAFN

Hafnia Limited (HAFN) Stock Statistics

Review Hafnia Limited (HAFN) statistics with company data, supporting context and links to related investor research.

Research record updated: . Individual measures may refer to different reporting periods.

1 month performance
15.43%
3 month performance
44.16%
6 month performance
29.58%
1 year performance
0%
Sharpe ratio
1.49
Volatility
36.83%
Maximum drawdown
-30.66%

Hafnia Limited (HAFN) Stock Statistics research

These HAFN statistics summarize available price performance and risk measures across several time horizons. Short and long windows can tell different stories, so the figures should be read together rather than treated as isolated signals.

Volatility, drawdown and risk-adjusted return describe historical behavior, not guaranteed future outcomes. Compare them with the company fundamentals and with appropriate sector peers before drawing a conclusion.