HAFN

HAFN

USD

Hafnia Limited Common Shares

$4.490+0.090 (2.045%)

Reaalajas hind

Tööstuskaubad
Marine Shipping
Singapur

Hinnagraafik

Põhinäitajad

Turunäitajad
Ettevõtte fundamentaalnäitajad
Kauplemisstatistika

Turunäitajad

Avatud

$4.400

Kõrge

$4.495

Madal

$4.360

Maht

0.11M

Ettevõtte fundamentaalnäitajad

Turukapitalisatsioon

2.2B

Tööstusharu

Marine Shipping

Riik

Singapore

Kauplemisstatistika

Keskmine maht

2.61M

Börs

NYQ

Valuuta

USD

52 nädala vahemik

Madal $3.609Praegune $4.490Kõrge $8.99

Tehisintellekti analüüsiaruanne

Viimati uuendatud: 25. apr 2025
Tehisintellekti loodudAndmeallikas: Yahoo Finance, Bloomberg, SEC

HAFN: Hafnia Limited Common Shares - Checking the Pulse and What Might Be Next

Stock Symbol: HAFN Generate Date: 2025-04-25 18:06:16

Let's take a look at what's been happening with Hafnia Limited shares lately. We'll break down the recent news, see what the stock price has been doing, and consider what the data might suggest looking forward.

The Latest News Buzz

News came out recently about Hafnia holding its Annual General Meeting (AGM) on May 14th. This isn't exactly earth-shattering news for the stock price. Think of it as a standard corporate housekeeping item. Companies hold these meetings every year to handle official business. So, while it's a piece of information, it doesn't really tell us anything specific about the company's performance or future direction that would typically make the stock jump or fall. It's pretty neutral stuff, just a heads-up about a scheduled event.

What the Price Chart Shows

Looking back over the last few months, the picture for HAFN has been a bit of a rollercoaster. The stock was trading comfortably above $5.00 in late January and early February. Then, things took a noticeable dip, especially around late February, with a big drop on high volume. Since that low point, the price has mostly bounced around between roughly $4.00 and $4.50.

More recently, over the past few weeks in April, the stock seems to be trying to recover some ground. It's been nudging upwards, trading in the low to mid-$4.00 range and closing yesterday (April 25th) right around $4.47. This puts it near the higher end of its recent trading band, but still a good distance from where it was earlier in the year, let alone its 52-week high near $9.00.

The AI predictions for the very near term are modest, suggesting tiny positive movements over the next couple of days (0.00% today, then around +0.66% and +0.53%). This aligns with the idea that the stock is currently in a phase of small, potentially upward nudges rather than big swings, at least according to the AI model.

Putting It All Together - What to Consider

So, we have routine news, a price that took a hit a while back but is now trying to climb back into a higher range, and AI predictions suggesting small positive steps ahead.

Based on this picture, the situation seems to lean cautiously positive in the very short term, perhaps favoring a 'hold' or looking for potential entry if the recent upward momentum continues. The significant drop in late February is a key event in its recent history, and the current price is part of the recovery attempt from that low.

If you were considering getting involved or adding to a position, the current price area, around $4.47, looks interesting. Why? Because it aligns with the recent upward trend and is suggested as a potential entry point by some analysis (like the recommendation data provided, which listed entry points around $4.45 - $4.47). It's essentially testing the upper boundary of its recent trading range.

For managing risk, thinking about potential exit points is smart. The recommendation data suggests a potential take-profit level around $4.75. This makes sense as it's above the recent highs and could be a target if the recovery continues. On the downside, a stop-loss level around $4.02 is suggested. This is below the recent trading range lows and could help limit potential losses if the stock turns back down, perhaps revisiting the levels seen after that late February drop. Remember, these are just potential levels based on the data, not guarantees.

A Bit About the Company

Just for context, Hafnia is in the marine shipping business, specifically operating oil product tankers. They're part of the Industrials sector. This means their performance can be tied to global trade, energy demand, and shipping rates. The company description mentions they own and operate a large fleet (200 vessels). Looking at some fundamental numbers provided, the company has a relatively low P/E ratio compared to its industry average and a high Return on Equity (ROE), which can be positive signs. However, it also shows negative revenue growth recently and a high debt-to-equity ratio, which are points to be aware of. The current price is trading significantly below its 52-week high, indicating it's been a tough year for the stock compared to its peak.


Disclaimer: This analysis is based on the provided data and is for informational purposes only. It is not financial advice. Stock markets are volatile, and prices can go down as well as up. You should always conduct your own thorough research and consider consulting with a qualified financial advisor before making any investment decisions.

Seotud uudised

BusinessWire

HAFNIA LIMITED: Annual General Meeting – Notice

Notice is hereby given that the 2025 Annual General Meeting of Hafnia Limited will be conducted as per the details below: Date: Wednesday, 14 May 2025 Location: 10 Pasir Panjang Road, Mapletree Business City #18-01,

Vaata rohkem
HAFNIA LIMITED: Annual General Meeting – Notice

Tehisintellekti ennustusBeta

Tehisintellekti soovitus

Tõusev

Uuendatud kell: 27. apr 2025, 22:19

LangevNeutraalneTõusev

65.7% Kindlus

Risk ja kauplemine

Riskitase3/5
Keskmine risk
Sobib
Väärtus
Kauplemisjuhend

Sisenemispunkt

$4.47

Võta kasum

$4.77

Peata kahjum

$4.04

Põhitegurid

PDI 4.9 is above MDI 3.0 with ADX 14.9, suggesting bullish trend
Praegune hind on tugitasemele ($4.48) äärmiselt lähedal, mis viitab tugevale ostuvõimalusele
Kauplemismaht on 2.3x keskmisest (28,838), mis näitab märkimisväärset ostuhuvi
MACD 0.0037 on signaalijoone 0.0034 kohal, mis viitab tõusvale ristumisele

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