Hafnia Limited (HAFN) Options Analysis - Options Chain, Volume & Implied Volatility - Stocknear

Hafnia Limited

NYSE: HAFN · Real-Time Price · USD
6.05
-0.01 (-0.17%)
At close: Sep 05, 2025, 3:59 PM
6.04
-0.25%
After-hours: Sep 05, 2025, 07:23 PM EDT

HAFN Option Overview

Overview for all option chains of HAFN. As of September 07, 2025, HAFN options have an IV of 149.83% and an IV rank of 161.61%. The volume is 119 contracts, which is 29.9% of average daily volume of 398 contracts. The volume put-call ratio is 7.5, indicating a bearish sentiment in the market.

Implied Volatility

Implied Volatility (30d)
149.83%
IV Rank
161.61%
Historical Volatility
36.36%
IV Low
62.2% on May 01, 2025
IV High
116.42% on Sep 05, 2025

Open Interest (OI)

Today's Open Interest
12,408
Put-Call Ratio
1.3
Put Open Interest
7,015
Call Open Interest
5,393
Open Interest Avg (30-day)
10,662
Today vs Open Interest Avg (30-day)
116.38%

Option Volume

Today's Volume
119
Put-Call Ratio
7.5
Put Volume
105
Call Volume
14
Volume Avg (30-day)
398
Today vs Volume Avg (30-day)
29.9%

Option Chain Statistics

This table provides a comprehensive overview of all HAFN options grouped by their expiration dates.

Expiration Call Vol Put Vol P/C Vol Call OI Put OI P/C OI Implied Volatility Max Pain
Sep 19, 2025 0 0 0 103 526 5.11 149.83% 7.5
Oct 17, 2025 0 0 0 1,745 3,084 1.77 57.42% 5
Jan 16, 2026 14 0 0 2,769 2,890 1.04 56.27% 5
Apr 17, 2026 0 105 0 776 515 0.66 50.2% 5