
Nokia Oyj (NOKIA) | Stock Overview & Key Data
Nokia Oyj Performance Comparison
Stock Range
Today's Range
52 Week Range
All-Time High: €7.15 on November 30, 2015
Explore how other French stocks compare to their 52-week ranges: View FR Market 52-Week Insights
Key Statistics
Financial Highlights
Profitability
Returns and Earnings
Growth
Dividend Information
Peer Performance Comparison
Company | Market Cap | 1W | 1M | 3M | 6M | YTD | 1Y | 3Y | 5Y |
---|---|---|---|---|---|---|---|---|---|
Nokia Oyj NOKIA | 19.07B Large-cap | -1.94% | -19.95% | -20.32% | -24.09% | -18.48% | 1.44% | -30.24% | -15.95% |
Eutelsat ETL | 1.49B Large-cap | -0.95% | -7.96% | -19.79% | 81.40% | 41.18% | -24.64% | -64.55% | -64.63% |
Parrot S.A PARRO | 273.26M Mid-cap | -28.21% | -7.64% | 16.43% | 73.05% | 167.75% | 322.80% | 91.55% | 158.23% |
Cogelectr ALLEC | 239.71M Mid-cap | -0.34% | 13.33% | 34.42% | 45.96% | 84.08% | 162.73% | 285.33% | 358.73% |
Ekinops S.A EKI | 127.01M Small-cap | -6.38% | -27.42% | -2.12% | 2.54% | -15.00% | -7.45% | -55.14% | -44.69% |
Ateme S.A ATEME | 66.63M Small-cap | -2.05% | 12.55% | 42.43% | 43.50% | -3.37% | 55.14% | -55.85% | -64.79% |
Ownership & Short Interest
Nokia Oyj Recurring Investment / Dollar-Cost Averaging Calculator
Calculate how a regular investment in Nokia Oyj would have performed over time.
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Frequently Asked Questions
- What is NOKIA's 52-week high and low?
- In the last 52 weeks, Nokia Oyj reached a high of €5.03 (on April 1, 2025) and a low of €3.43 (on August 8, 2024).
- What is the market cap and P/E ratio for NOKIA?
- Curious about Nokia Oyj's size and valuation? Its market capitalization stands at 19.07B. When it comes to valuation, the P/E ratio (trailing twelve months) is 22.16, and the forward P/E (looking ahead) is N/A.
- Does NOKIA pay dividends? If so, what's the yield?
- Yes, Nokia Oyj is a dividend-paying stock. Investors have recently enjoyed a trailing annual dividend yield of 2.90%, and the company has paid an average of €0.12 per share annually over the past 3 years.
- Who are Nokia Oyj's main competitors or similar companies to consider before investing?
When looking at Nokia Oyj, it can be helpful to see how it compares to other players in its field. Here are a few similar companies or key competitors:
Company Mkt Cap Sector Industry 1Y Return 3Y Return Eutelsat
ETL1.49B Technology Communication Equipment -24.64% -64.55% Parrot S.A
PARRO273.26M Technology Communication Equipment 322.80% 91.55% Cogelectr
ALLEC239.71M Technology Communication Equipment 162.73% 285.33% Ekinops S.A
EKI127.01M Technology Communication Equipment -7.45% -55.14% Ateme S.A
ATEME66.63M Technology Communication Equipment 55.14% -55.85% For a more comprehensive list, please see the Peer Performance Comparison table on this page.
- What are the key financial health indicators for Nokia Oyj? (e.g., ROE, Debt/Equity)
- To get a sense of Nokia Oyj's financial health, here are a few key indicators: its Return on Equity (ROE) over the last twelve months is 4.47%, the Debt to Equity ratio from the most recent quarter is 20.69, and its Gross Profit Margin stands at 43.36%.
- What is the recent revenue and earnings growth for NOKIA?
- Looking at Nokia Oyj's growth, its revenue over the trailing twelve months (TTM) was €19B. Compared to the same quarter last year (YoY), quarterly revenue grew by 1.80%, and quarterly earnings saw a YoY growth of 1.79%.
- How much of NOKIA stock is held by insiders and institutions?
- Wondering who owns Nokia Oyj stock? Company insiders (like executives and directors) hold about 6.65% of the shares, while institutional investors (such as mutual funds and pension funds) own approximately 36.80%.
For more common questions about our data, please visit our About Data page.
Data is provided for informational purposes only. Devyara does not guarantee the accuracy of the data displayed.