Nokia Oyj
Market Cap
$69.78B
P/E Ratio
80.75
EPS
$0.16
Dividend Yield
1.62%
52-Week Range
$4.00 — $12.92
Volume
130.06M
Avg Volume
66.81M
Beta
0.51
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P/E (TTM)
80.75
Forward P/E
40.76
PEG Ratio
-1.52
P/S (TTM)
2.42
P/B (TTM)
2.26
P/FCF
135.04
EV/EBITDA
45.86x
EV/Sales
—
ROE (TTM)
0.04%
ROA (TTM)
0.02%
ROIC
0.03%
Gross Margin
0.44%
Operating Margin
0.06%
Net Margin
0.09%
Debt/Equity
0.25
Current Ratio
1.58
EPS Growth (YoY)
-0.35%
Revenue Growth (YoY)
+0.01%
EPS Growth (3Y)
-0.15%
EPS Growth (5Y)
+0.56%
Sales Growth (3Y)
-0.08%
Sales Growth (5Y)
-0.02%
EPS Est (This Year)
$0.32
EPS Est (Next Year)
$0.37
Dividend Yield
—
Annual Dividend
$0.03
Payout Ratio
0.30%
Frequency
—
Ex-Dividend Date
2025-10-28
Cash/Share
$1.17
Strong Buy
1 = Strong Buy, 5 = Strong Sell
Price Target Range
Consensus Target: $6.69(-48.2% upside)
Institutional %
—
Inst. Net Change
—
Insider Net Shares (90d)
—
Outstanding Shares
5.40B
Float
5.70B
Free Float %
105.54%
RSI (14)
65.44
SMA 20
$6.69
SMA 50
$6.50
SMA 200
$5.55
ATR (14)
0.26
Volatility (Week)
0.01%
Volatility (Month)
0.03%
Pattern
—
1 Day
-1.39%
1 Week
+5.83%
1 Month
+9.26%
3 Months
+3.51%
6 Months
+72.68%
1 Year
—
YTD
+8.76%
All-Time High
$8.19
Sector
Technology
Industry
Communication Equipment
Country
FI
Exchange
NYSE
IPO Date
1994-07-01
Employees
78434
CEO
Justin Hotard
Index Membership
—
Website
https://www.nokia.com
Nokia Oyj (NOK) is a technology company in the communication equipment industry listed on the NYSE. With a market capitalization of $69.78B, a P/E ratio of 80.75, and a dividend yield of 1.62%, NOK is tracked by stockscreenr alongside 25,000+ other tickers. Use the free stock screener to compare NOK against other stocks using dozens of fundamental and technical filters.
Nokia Oyj (NOK) has a trailing twelve-month (TTM) P/E ratio of 80.75. This is above the market average, which may reflect high growth expectations or premium valuation. The P/E ratio measures how much investors are willing to pay per dollar of earnings.
No, Nokia Oyj (NOK) does not currently pay a regular dividend. The company may be reinvesting profits into growth, research, or debt reduction instead of returning cash to shareholders through dividends.
Nokia Oyj (NOK) has a market capitalization of $69.78 billion, classifying it as a large-cap company. Market cap is calculated by multiplying the current share price by the total number of outstanding shares.
Wall Street analysts have a consensus "Strong Buy" rating on Nokia Oyj (NOK) with an average score of 1.00 on a 1-5 scale (1 = Strong Buy, 5 = Strong Sell). The consensus price target of $6.69 implies 48.2% downside from the current price.
Nokia Oyj (NOK) has returned +8.76% year-to-date. Past performance does not guarantee future results, but these figures reflect the stock's recent price trajectory relative to the broader market.