v3.26.1
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Profit (loss) [abstract]      
Revenue $ 2,281,909 $ 2,868,647 $ 2,671,706
Gross profit 955,874 1,391,279 1,366,607
Other operating income 31,101 35,195 44,984
Vessel operating expenses (282,123) (278,041) (268,869)
Technical management expenses (27,082) (28,173) (25,692)
Charter hire expenses (33,415) (48,496) (34,571)
Other expenses (84,876) (79,446) (69,571)
Total other gains 559,479 992,318 1,012,888
Gain on disposal of assets 12,236 28,520 56,087
Depreciation charge of property, plant and equipment (201,702) (214,308) (209,727)
Amortisation charge of intangible assets (427) (803) (1,300)
Operating profit 369,586 805,727 857,948
Interest income 13,496 16,317 17,629
Interest expense (49,768) (52,375) (77,385)
Capitalised financing fees written off (2,720) (2,069) (5,894)
Other finance expense (5,607) (9,662) (11,845)
Finance expense - net (44,599) (47,789) (77,495)
Share of profit of equity-accounted investees, net of tax 17,190 20,515 19,073
Profit before income tax 342,177 778,453 799,526
Income tax expense (2,495) (4,418) (6,251)
Profit for the financial year 339,682 774,035 793,275
Items that may be subsequently reclassified to profit or loss      
Foreign operations - foreign currency translation differences 325 (135) (92)
Cash flow hedges - effective portion of changes in fair value (2,822) 14,522 13,378
Cash flow hedges - reclassified to profit or loss (10,057) (33,129) (42,524)
Other comprehensive income that will be reclassified to profit or loss, net of tax (12,554) (18,742) (29,238)
Item that will not be subsequently reclassified to profit or loss      
Equity investments at FVOCI - net change in fair value (36,957) 1,186 9,720
Total other comprehensive loss, net of tax (49,511) (17,556) (19,518)
Total comprehensive income for the year $ 290,171 $ 756,479 $ 773,757
Earnings per share attributable to the equity holders of the Company (expressed in US$ per share)      
Basic earnings per share (in dollars per share) $ 0.68 $ 1.52 $ 1.57
Diluted earnings per share (in dollars per share) $ 0.67 $ 1.5 $ 1.56
Hafnia Vessels and TC Vessels [Member]      
Profit (loss) [abstract]      
Revenue $ 1,421,831 $ 1,935,596 $ 1,915,472
Voyage expenses (465,957) (544,317) (548,865)
External Vessels in Disponent-Owner Pools [Member]      
Profit (loss) [abstract]      
Revenue 860,078 933,051 756,234
Voyage expenses (329,566) (332,802) (279,749)
Pool distributions $ (530,512) $ (600,249) $ (476,485)