African Stock Exchanges

HAFR - Home Afrika Limited

Twitter · Facebook
HAFR share price on Nairobi Securities ExchangeHAFR share price on Nairobi Securities Exchange

Home Afrika Limited is Kenya's only publicly traded property developer. Home Afrika plans to expand into six African countries starting from 2014. The company will construct homes in Tanzania, Rwanda, Angola, Zimbabwe, Nigeria and Ghana. The new markets will be covered by regional offices in Nairobi, Johannesburg and Abuja, Karuri.

Home Afrika Limited is listed on the Nairobi Securities Exchange (NSE). Home Afrika is traded on the NSE under the ticker symbol “HAFR”. The International Securities Identification Number (ISIN) of NSE:HAFR is KE2000007258. Home Afrika Limited is currently the 51st most valuable stock on the NSE with a market capitalization of KES 551 million, which is about 0.019% of the Nairobi Securities Exchange equity market.

HAFR1.36 ▴ 0.02 (1.49%)
57 minutes ago
Last Trading Results
Opening Price
Day’s Low Price1.30
Day’s High Price1.42
Traded Volume294,617
Number of Deals180
Gross Turnover401,537.89
Growth & Valuation
Earnings Per Share
Price/Earning Ratio
Dividend Per Share
Dividend Yield
Shares Outstanding405M
Market Capitalization551M
Monetary values are quoted in Kenyan Shilling (KES) unless otherwise stated

HAFR Stock Market Performance

1WK4WK3MO
+23.6%+24.8%+3.03%
6MO1YRYTD
+103%+289%+1.49%

The current share price of Home Afrika Limited (HAFR) is KES 1.36. HAFR closed its last trading day (Friday, January 2, 2026) at 1.36 KES per share on the Nairobi Securities Exchange (NSE), recording a 1.5% gain over its previous closing price of 1.34 KES. Home Afrika began the year with a share price of 1.34 KES and has since gained 1.49% on that price valuation, ranking it eighth on the NSE in terms of year-to-date performance. Shareholders can be optimistic about HAFR knowing the stock has accrued 25% over the past four-week period alone—best on NSE.

Home Afrika is the 11th most traded stock on the Nairobi Securities Exchange over the past three months (Sep 29, 2025 - Jan 2, 2026). HAFR has traded a total volume of 27.8 million shares—in 8,684 deals—valued at KES 33 million over the period, with an average of 440,808 traded shares per session. A volume high of 3.61 million was achieved on September 29th, and a low of 73,287 on November 19th, for the same period. The table below details the last 10 trading days of activity of Home Afrika on the Nairobi Securities Exchange.

DateVolumeCloseChangeChange%
2026-01-02294,6171.36+0.02+1.49%
2025-12-31635,5271.34+0.07+5.51%
2025-12-301,387,5301.27+0.08+6.72%
2025-12-29212,6471.19
2025-12-24160,5061.19+0.09+8.18%
2025-12-23197,2651.10
2025-12-22301,1941.10-0.01-0.90%
2025-12-19236,4461.11
2025-12-18439,7411.11-0.01-0.89%
2025-12-17131,6341.12

Profile of Home Afrika Limited

Home Afrika Limited operates in the Financials sector.

Factsheet of Home Afrika Limited

Sector
Financials
Industry
Address
Morningside Office Park, Ngong Road, P.O. Box 6254-00100, Nairobi, Kenya
Telephone
+254-202-772-000
Email

HAFR Industrial Market Competitors

Home Afrika Limited, issuers of the HAFR stock on the Nairobi Securities Exchange, have a number of market competitors who are also engaged in the Financials sector. The table below presents an overview of the market standing of the top 10 by year-to-date performance.


Index of African Stock Exchanges:

  1. Botswana Stock Exchange
  2. BRVM Stock Exchange
  3. Ghana Stock Exchange
  4. Johannesburg Stock Exchange
  5. Lusaka Securities Exchange
  6. Malawi Stock Exchange
  7. Nairobi Securities Exchange
  8. Nigerian Stock Exchange
  9. Uganda Securities Exchange
  10. Zimbabwe Stock Exchange

Comments

  1. Benard MulwaBenard Mulwa
    Mar 2, 2022 09:25 GMT

    how can i recover my MSC company?

  2. MANDELAMANDELA
    Mar 25, 2021 10:37 GMT

    AMAZING SITE

  3. John M. GJohn M. G
    Feb 5, 2020 16:24 GMT

    What does the volume of shares traded on Home Africa for past days indicate

    1. Michael KwayisiMichael Kwayisi
      Feb 5, 2020 21:06 GMT

      I wouldn't be too quick to say an acquisition is in the offing but Home Afrika's performance has been poor in recent times so, at least, someone is taking advantage to beef up their stake.

      With the company facing serious capitalization issues, revenues plunging, and losses increasing, it's hard to see a turnaround without significant fresh capital injection. The real estate industry is one that I've always thought isn't as profitable as it's cut out to be, especially when dealing in low-level to mid-sized housing.

  4. Dedan MainaDedan Maina
    Sep 4, 2025 15:42 GMT

    chat.whatsapp.com/...8tDHn3phh6a1LINh

    Here is the revised version:

    Investment 2.1 – Mastering Market Cycles: Strategic Wealth Creation in Bull & Bear Markets
    By Dedan Maina | Investment Consultant & Business Growth Strategist

    Unlock the Hybrid Edge of Investing
    Are you tired of feeling paralyzed in volatile markets? Do you want to stop reacting to market swings and start strategizing through them? Investment 2.1 is a transformative hybrid learning session designed to equip you with the mindset, tools, and strategies to thrive in any market condition—bullish euphoria or bearish panic.

    Why Investment 2.1?
    Traditional programs teach you what to do. Investment 2.1 shows you how to adapt dynamically.
    - Hybrid Approach: Combines foundational principles (101) with advanced tactical frameworks (102).
    - Market-Agnostic Strategies: Learn to capitalize on rallies, exploit bear dips, and build resilient portfolios.
    - Mindset Mastery: Shift from fear-driven decisions to disciplined, opportunity-focused investing.

    Session Highlights
    Mindset Reset: From Panic to Strategy
    - Psychology of bull/bear markets: Avoid FOMO and panic-selling traps.
    - Building a process-driven framework to replace emotional reactions.

    Bull Market Mastery
    - Identifying early-stage trends in equities & mutual funds.
    - Leveraging momentum: When to ride the wave vs. take profits.
    - Case studies.

    Bear Market Opportunism
    - Spotting undervalued gems: Quality stocks/MFs at discounted prices.
    - Short-term plays: Dividend traps, defensive sectors, and contrarian bets.
    - Workshop: Building a “Bear Market Basket” with 7 Resilient Assets.

    Strategic Entries & Exits
    - Technical triggers: RSI, moving averages, and volume signals for timing.
    - Fundamental checkpoints: Earnings reports, macroeconomic shifts.
    - Break-Even Tactics: Take profit strategies to reach B.E.P in stocks investing.

    Organic Portfolio Growth
    - Blending long-term compounders (blue-chip stocks, index funds) with short-term tactical gains (sector rotations, swing trades).
    - Activity: Design a 60/40 Portfolio (60% long-term, 40% opportunistic).

    Mutual Funds: Active vs. Passive
    - Choosing funds for bull runs (growth-focused) vs. bear markets (value/balanced).
    - Lump-Sum vs. SIP: Optimizing entry strategies in volatile conditions.

    Key Takeaways
    - Toolkit: Ready-to-use templates for market analysis, entry/exit checklists, and risk scorecards.
    - Action Plan: Personalized roadmap to align strategies with your risk tolerance and goals.

    Who Should Attend?
    - Investors stuck in the “buy-high, sell-low” cycle.
    - Equity/MF enthusiasts seeking to systematically leverage volatility.
    - Anyone ready to replace guesswork with data-driven, repeatable processes.

    Bonus: Free Market Cycle insights + 30-day support for strategy fine-tuning.

    September Session Specials
    - Investment Portfolio Assessment - Free
    - Goals - Investment Alignment - Free
    - One Online Meet-up Consultation

    Don’t Just Survive Markets—Dominate Them. Enroll in Investment 2.1 Today to stop freestyling your finances.

    Contact Dedan Maina: mzazipacesetters@gmail.com | 0798264178
    “In investing, what is comfortable is rarely profitable.” – Robert Arnott
    Let’s make volatility your ally, not your enemy.
    CFA Dedan Maina-Investment Consultant & Business Growth Strategist

  5. Dedan MainaDedan Maina
    Apr 11, 2025 06:49 GMT

    Investment 2.1 – Mastering Market Cycles: Strategic Wealth Creation in Bull & Bear Markets

    By Dedan Maina | Investment Consultant & Business Growth Strategist

    Unlock the Hybrid Edge of Investing

    Bridging Investment 101 Basics & Investment 102 Advanced Tactics

    Are you tired of feeling paralyzed in volatile markets? Do you want to stop reacting to market swings and start strategizing through them? Investment 2.1 is a transformative hybrid learning session designed to equip you with the mindset, tools, and strategies to thrive in any market condition—bullish euphoria or bearish panic.

    Why Investment 2.1?

    Traditional programs teach you what to do. Investment 2.1 shows you how to adapt dynamically.

    Hybrid Approach: Combines foundational principles (101) with advanced tactical frameworks (102).
    Market-Agnostic Strategies: Learn to capitalize on rallies, exploit bear dips, and build resilient portfolios.
    Mindset Mastery: Shift from fear-driven decisions to disciplined, opportunity-focused investing.

    Session Highlights

    1. Mindset Reset: From Panic to Strategy

    Psychology of bull/bear markets: Avoid FOMO and panic-selling traps.
    Building a process-driven framework to replace emotional reactions.

    2. Bull Market Mastery

    Identifying early-stage trends in equities & mutual funds.
    Leveraging momentum: When to ride the wave vs. take profits.

    3. Bear Market Opportunism

    Spotting undervalued gems: Quality stocks/MFs at discounted prices.
    -Short-term plays: Dividend traps, defensive sectors, and contrarian bets.

    4. Strategic Entries & Exits

    Technical triggers: RSI, moving averages, and volume signals for timing.
    Fundamental checkpoints: Earnings reports, macroeconomic shifts.
    Break-Even Tactics: Take profit strategies to reach B.E.P in stocks investing .

    5. Organic Portfolio Growth

    Blending long-term compounders (blue-chip stocks, index funds) with short-term tactical gains (sector rotations, swing trades).
    Activity: Design a 60/40 Portfolio (60% long-term, 40% opportunistic).

    6. Mutual Funds: Active vs. Passive

    Choosing funds for bull runs (growth-focused) vs. bear markets (value/balanced).
    Lump-Sum vs. SIP: Optimizing entry strategies in volatile conditions.


    Who Should Attend?

    - Investors stuck in the “buy-high, sell-low” cycle.
    - Equity/MF enthusiasts seeking to systematically leverage volatility.
    - Anyone ready to replace guesswork with data-driven, repeatable processes.


    - Bonus: Free Market Cycle insights + 30-day support for strategy fine-tuning.

    Don’t Just Survive Markets—Dominate Them.

    Enroll in Investment 2.1 Today to stop freestyling your finances

    Facilitation fee is Ksh. 5000

    Contact Dedan Maina:
    📩 mzazipacesetters@gmail.com| 📱0798264178|

    “In investing, what is comfortable is rarely profitable.” – Robert Arnott*

    Let’s make volatility your ally, not your enemy. 🐂🐻

    chat.whatsapp.com/...8tDHn3phh6a1LINh

  • Showing 1 - 5 of 5
NOTE: You are replying to 's comment. [Cancel]