Nokia Oyj (NOKIA.HE) — Stock Score Summary

Nokia Oyj (NOKIA.HE) has a MoatMap StockRank of 69/100 based on Quality (51/100), Value (41/100), and Momentum (59/100) factor scores. The current signal is BUY.

Key Financial Metrics

Price$15.11
Market Cap$86.1B
P/E (TTM)83.82
P/E (Forward)29.98
Price/Book3.10
Return on Equity3.7%
Return on Invested Capital4.1%
Debt/Equity15.63
Gross Margin45.4%
Operating Margin5.3%
Revenue Growth2.4%
Dividend Yield1.2%
Free Cash Flow$2.2B

Nokia Oyj operates in the Communication Equipment industry, part of the Technology sector (Finland).

Frequently Asked Questions

What is Nokia Oyj’s (NOKIA.HE) StockRank?
MoatMap’s StockRank for Nokia Oyj (NOKIA.HE) is 69/100, with a Buy signal. It is a composite of Quality (51), Value (41), and Momentum (59) factor ranks across MoatMap’s 19,000+ stock universe.
Does Nokia Oyj have an economic moat?
Nokia Oyj (NOKIA.HE) has a Quality factor score of 51/100. The Quality factor combines ROIC, Piotroski F-Score, and leverage — the financial fingerprints of a durable competitive advantage. A Quality score above 70 typically indicates a company with the characteristics of a moated business.
Is Nokia Oyj a buy, hold, or sell?
MoatMap’s current signal for Nokia Oyj (NOKIA.HE) is Buy, based on a StockRank of 69/100. Signals are derived mechanically from the StockRank composite and should be one input among many — combine with your own thesis on management, competitive position, and valuation.
What sector is Nokia Oyj in?
Nokia Oyj (NOKIA.HE) operates in the Technology sector, specifically the Communication Equipment industry (Finland).