C
Nokia Oyj NOKBF
$5.25 $0.030.58%
Recommendation
Prev Close
Volume
Avg Vol (90D)
Market Cap
Dividend & Yield
52-Week Range
P/E (TTM)
EPS (TTM)
C
Hold 10/18/2024Upgraded
Nokia Oyj (NOKBF) was upgraded to C from C- on 10/18/2024 due to a major increase in the growth index, total return index and volatility index. Earnings per share increased from -$0.0285 to $0.034, operating cash flow increased 52.06% from $526.33M to $800.35M, and EBIT increased 12.66% from $365.95M to $412.27M.
C
Hold 8/16/2024Upgraded
Nokia Oyj (NOKBF) was upgraded to C- from D+ on 8/16/2024 due to an increase in the volatility index and total return index.
D
Sell 7/19/2024Downgrade
Nokia Oyj (NOKBF) was downgraded to D+ from C- on 7/19/2024 due to a major decline in the valuation index, dividend index and growth index. Earnings per share declined from $0.0843 to -$0.0285, operating cash flow declined 54.56% from $1.16B to $526.33M, and EBIT declined 35.54% from $567.76M to $365.95M.
C
Hold 3/4/2024Upgraded
Nokia Oyj (NOKBF) was upgraded to C- from D+ on 3/4/2024 due to an increase in the dividend index and solvency index. The quick ratio increased from 1.3 to 1.35.
D
Sell 12/18/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to D+ from C- on 12/18/2023 due to a large decline in the growth index, total return index and volatility index. Earnings per share declined from $0.054 to $0.0218, EBIT declined 36.09% from $567.11M to $362.44M, and total revenue declined 12.76% from $6.22B to $5.42B.
C
Hold 8/28/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to C- from C on 8/28/2023 due to a decline in the dividend index and total return index.
C
Hold 8/11/2023Upgraded
Nokia Oyj (NOKBF) was upgraded to C from C- on 8/11/2023 due to a significant increase in the growth index, dividend index and valuation index. EBIT increased 34.9% from $420.38M to $567.11M, and earnings per share increased from $0.0534 to $0.054.
C
Hold 7/14/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to C- from C on 7/14/2023 due to a noticeable decline in the total return index, volatility index and efficiency index.
C
Hold 4/20/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to C from B- on 4/20/2023 due to a significant decline in the growth index, volatility index and dividend index. Earnings per share declined from $0.5744 to $0.0534, operating cash flow declined 84.64% from $579.33M to $89.01M, and EBIT declined 61.8% from $1.1B to $420.38M.
B
Buy 4/5/2023Upgraded
Nokia Oyj (NOKBF) was upgraded to B- from C+ on 4/5/2023 due to an increase in the total return index and volatility index.
C
Hold 3/21/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to C+ from B- on 3/21/2023 due to a decline in the total return index and volatility index.
B
Buy 3/6/2023Upgraded
Nokia Oyj (NOKBF) was upgraded to B- from C+ on 3/6/2023 due to a major increase in the valuation index, growth index and efficiency index. Earnings per share increased from $0.0725 to $0.5744, net income increased 649% from $430.25M to $3.22B, and EBIT increased 97.49% from $557.21M to $1.1B.
C
Hold 1/27/2023Upgraded
Nokia Oyj (NOKBF) was upgraded to C+ from C on 1/27/2023 due to an increase in the total return index, volatility index and valuation index.
C
Hold 1/11/2023Downgrade
Nokia Oyj (NOKBF) was downgraded to C from C+ on 1/11/2023 due to a decline in the total return index and valuation index.
C
Hold 12/27/2022Upgraded
Nokia Oyj (NOKBF) was upgraded to C+ from C on 12/27/2022 due to an increase in the efficiency index, volatility index and valuation index.
C
Hold 3/21/2022Downgrade
Nokia Oyj (NOKBF) was downgraded to C from C+ on 3/21/2022 due to a decline in the volatility index and total return index.
C
Hold 3/4/2022Upgraded
Nokia Oyj (NOKBF) was upgraded to C+ from D+ on 3/4/2022 due to a significant increase in the growth index, valuation index and efficiency index. Earnings per share increased from $0.0709 to $0.1368, net income increased 91.88% from $403.07M to $773.42M, and total revenue increased 15.33% from $6.36B to $7.34B.
D
Sell 1/27/2022Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 1/27/2022 due to a decline in the total return index.
C
Hold 12/22/2021Upgraded
Nokia Corporation (NOKBF) was upgraded to C- from D+ on 12/22/2021 due to a substantial increase in the total return index, solvency index and volatility index. Debt to equity declined from 0.38 to 0.33, and the quick ratio increased from 1.29 to 1.32.
D
Sell 7/23/2021Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 7/23/2021 due to a noticeable increase in the total return index, volatility index and efficiency index. Net income increased 109.8% from -$3.21B to $314.61M, and total capital increased 0.11% from $23.39B to $23.41B.
D
Sell 3/5/2021Downgrade
Nokia Corporation (NOKBF) was downgraded to D from C on 3/5/2021 due to a significant decline in the growth index, valuation index and efficiency index. Net income declined 1,522.2% from $225.71M to -$3.21B, earnings per share declined from $0.0402 to -$0.5714, and total capital declined 9.12% from $25.73B to $23.39B.
C
Hold 3/2/2021Upgraded
Nokia Corporation (NOKBF) was upgraded to C from C- on 3/2/2021 due to an increase in the valuation index, total return index and volatility index.
C
Hold 2/11/2021Downgrade
Nokia Corporation (NOKBF) was downgraded to C- from C on 2/11/2021 due to a decline in the volatility index.
C
Hold 1/27/2021Upgraded
Nokia Corporation (NOKBF) was upgraded to C from C- on 1/27/2021 due to an increase in the volatility index and total return index.
C
Hold 11/27/2020Downgrade
Nokia Corporation (NOKBF) was downgraded to C- from C on 11/27/2020 due to a decline in the volatility index, valuation index and total return index.
C
Hold 11/10/2020Upgraded
Nokia Corporation (NOKBF) was upgraded to C from C- on 11/10/2020 due to a noticeable increase in the valuation index, efficiency index and volatility index. Net income increased 117.98% from $103.55M to $225.71M, and total capital increased 2.94% from $25B to $25.73B.
C
Hold 10/29/2020Downgrade
Nokia Corporation (NOKBF) was downgraded to C- from C on 10/29/2020 due to a decline in the volatility index and efficiency index.
C
Hold 7/31/2020Upgraded
Nokia Corporation (NOKBF) was upgraded to C from D+ on 7/31/2020 due to a significant increase in the growth index, valuation index and volatility index. EBIT increased 2,327.9% from $14.34M to $348.1M, earnings per share increased from -$0.025 to $0.0138, and operating cash flow increased 148.21% from $147.79M to $366.83M.
D
Sell 6/24/2020Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 6/24/2020 due to an increase in the volatility index and total return index.
D
Sell 6/8/2020Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 6/8/2020 due to a decline in the valuation index and volatility index.
D
Sell 5/21/2020Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 5/21/2020 due to an increase in the volatility index.
D
Sell 5/6/2020Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 5/6/2020 due to a major decline in the growth index, total return index and volatility index. Earnings per share declined from $0.1107 to -$0.025, EBIT declined 98.56% from $997.66M to $14.34M, and operating cash flow declined 91.6% from $1.76B to $147.79M.
D
Sell 3/6/2020Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 3/6/2020 due to an increase in the efficiency index and solvency index. Net income increased 583.6% from $91.19M to $623.4M, debt to equity declined from 0.34 to 0.3, and the quick ratio increased from 1.05 to 1.14.
D
Sell 12/18/2019Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 12/18/2019 due to a noticeable decline in the volatility index, total return index and solvency index. Debt to equity increased from 0.31 to 0.34, and the quick ratio declined from 1.05 to 1.05.
D
Sell 10/22/2019Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 10/22/2019 due to an increase in the volatility index and total return index.
D
Sell 10/7/2019Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 10/7/2019 due to a decline in the volatility index.
D
Sell 9/20/2019Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 9/20/2019 due to an increase in the volatility index and total return index.
D
Sell 9/5/2019Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 9/5/2019 due to a decline in the efficiency index and volatility index. Total capital declined 2.84% from $22.99B to $22.34B.
D
Sell 7/25/2019Upgraded
Nokia Corporation (NOKBF) was upgraded to D+ from D on 7/25/2019 due to an increase in the volatility index.
D
Sell 6/19/2019Downgrade
Nokia Corporation (NOKBF) was downgraded to D from D+ on 6/19/2019 due to a noticeable decline in the total return index and volatility index.
D
Sell 5/1/2019Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 5/1/2019 due to a large decline in the growth index, dividend index and total return index. Earnings per share declined from $0.0346 to -$0.0915, operating cash flow declined 153.64% from $1.58B to -$848.55M, and EBIT declined 132.11% from $1.1B to -$354.42M.
C
Hold 3/29/2019Upgraded
Nokia Corporation (NOKBF) was upgraded to C- from D+ on 3/29/2019 due to a large increase in the growth index, total return index and volatility index. Operating cash flow increased 1,759.11% from -$95.36M to $1.58B, earnings per share increased from -$0.0164 to $0.0346, and EBIT increased 279.67% from $290.72M to $1.1B.
D
Sell 3/23/2018Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 3/23/2018 due to a noticeable decline in the efficiency index, volatility index and total return index. Net income declined 111.3% from -$215.1M to -$454.51M, and total capital declined 0.3% from $24.24B to $24.17B.
C
Hold 7/13/2017Upgraded
Nokia Corporation (NOKBF) was upgraded to C- from D+ on 7/13/2017 due to a noticeable increase in the total return index and volatility index.
D
Sell 4/28/2017Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 4/28/2017 due to a decline in the growth index, solvency index and dividend index. Operating cash flow declined 191.4% from $551.57M to -$504.15M, earnings per share declined from $0.1186 to -$0.0911, and EBIT declined 106.05% from $52.89M to -$3.2M.
C
Hold 4/21/2017Upgraded
Nokia Corporation (NOKBF) was upgraded to C- from D+ on 4/21/2017 due to an increase in the volatility index and total return index.
D
Sell 3/24/2017Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 3/24/2017 due to a significant decline in the valuation index, growth index and efficiency index. EBIT declined 79.72% from $260.79M to $52.89M.
C
Hold 3/7/2017Upgraded
Nokia Corporation (NOKBF) was upgraded to C- from D+ on 3/7/2017 due to an increase in the volatility index.
D
Sell 12/1/2016Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 12/1/2016 due to a decline in the total return index, valuation index and volatility index.
C
Hold 10/14/2016Downgrade
Nokia Corporation (NOKBF) was downgraded to C- from C on 10/14/2016 due to a large decline in the valuation index, solvency index and total return index. The quick ratio declined from 1.66 to 1.4, and debt to equity increased from 0.2 to 0.21.
C
Hold 5/11/2016Downgrade
Nokia Corporation (NOKBF) was downgraded to C from C+ on 5/11/2016 due to a noticeable decline in the growth index, dividend index and valuation index. Operating cash flow declined 445.67% from $505.13M to -$1.75B, EBIT declined 200.24% from $783.45M to -$785.36M, and earnings per share declined from $0.5023 to -$0.1002.
C
Hold 5/2/2016Downgrade
Nokia Corporation (NOKBF) was downgraded to C+ from B- on 5/2/2016 due to a decline in the volatility index, valuation index and total return index.
B
Buy 4/1/2016Upgraded
Nokia Corporation (NOKBF) was upgraded to B- from C+ on 4/1/2016 due to a major increase in the valuation index, growth index and dividend index. Earnings per share increased from $0.0452 to $0.5023, EBIT increased 70.17% from $460.39M to $783.45M, and total revenue increased 17.13% from $3.38B to $3.95B.
C
Hold 3/11/2016Downgrade
Nokia Corporation (NOKBF) was downgraded to C+ from B on 3/11/2016 due to a noticeable decline in the volatility index, valuation index and total return index.
B
Buy 9/8/2015Upgraded
Nokia Corporation (NOKBF) was upgraded to B from B- on 9/8/2015 due to an increase in the valuation index, total return index and volatility index.
B
Buy 8/12/2015Downgrade
Nokia Corporation (NOKBF) was downgraded to B- from B on 8/12/2015 due to a large decline in the valuation index, volatility index and growth index. Total revenue declined 1.19% from $3.59B to $3.55B.
B
Buy 7/6/2015Downgrade
Nokia Corporation (NOKBF) was downgraded to B from B+ on 7/6/2015 due to a decline in the total return index and volatility index.
B
Buy 5/1/2015Upgraded
Nokia Corporation (NOKBF) was upgraded to B+ from B on 5/1/2015 due to a large increase in the growth index, valuation index and efficiency index.
B
Buy 3/20/2015Upgraded
Nokia Corporation (NOKBF) was upgraded to B from B- on 3/20/2015 due to a noticeable increase in the efficiency index, dividend index and solvency index. The quick ratio increased from 1.5 to 1.68, and total capital increased 0.02% from $13.79B to $13.79B.
B
Buy 3/17/2015Downgrade
Nokia Corporation (NOKBF) was downgraded to B- from B on 3/17/2015 due to a major decline in the growth index and total return index. Earnings per share declined from $0.8307 to $0.2485, and operating cash flow declined 51.2% from $1.08B to $528.68M.
B
Buy 9/15/2014Upgraded
Nokia Corporation (NOKBF) was upgraded to B from B- on 9/15/2014 due to a major increase in the volatility index and total return index.
B
Buy 9/4/2014Upgraded
Nokia Corporation (NOKBF) was upgraded to B- from C+ on 9/4/2014 due to an increase in the total return index, volatility index and solvency index.
C
Hold 7/25/2014Upgraded
Nokia Corporation (NOKBF) was upgraded to C+ from D+ on 7/25/2014 due to a significant increase in the valuation index, growth index and efficiency index. EBIT increased 33.16% from $356.35M to $474.52M, and total revenue increased 10.51% from $3.65B to $4.03B.
D
Sell 5/2/2014Downgrade
Nokia Corporation (NOKBF) was downgraded to D+ from C- on 5/2/2014 due to a large decline in the growth index, valuation index and solvency index. Operating cash flow declined 362.11% from $72.16M to -$189.14M, EBIT declined 30.76% from $514.65M to $356.35M, and total revenue declined 22.85% from $4.73B to $3.65B.
Weiss Ratings