Brokers Ratings on: Nokia Corporation (NYSE:NOK)

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Nokia Corporation (NYSE:NOK) currently has a “Sell” signals on Composite indicators by TrendSpotter. While the Short-Term Technical Indicators for the stock on 7-Day Average Directional Indicator shows “Sell” signal. 10 – 8 Day Moving Average Hilo Channel shows “Sell” signal. While 20-Day Moving Average VS Current Price shows “Sell” Signal.

Nokia Corporation (NYSE:NOK) gained 0.43 Percent and closed its previous trading session at $4.72. The stock traded with the average Volume of 13.83 Million at the end of last session.

Nokia Corporation (NYSE:NOK) has the Market Capitalization of 27.54 Billion. The Stock has its 52-week High of $6.65 and 52-Week Low of $4.50 and it touched its 52-week high on 05/23/17 and 52-Week Low on 01/31/17.

The company reported its last earnings Actual EPS of $0.11/share. While, the analyst predicted that the company could provide an EPS of $0.06/share. Hence the difference between Predicted EPS and Actual EPS reported is $0.05/share which shows an Earnings Surprise of 83.3 Percent.

Several analysts are forecasting growth estimate of Nokia Corporation for the current quarter to be -23.1%. Their projections for the Next Quarter growth is 33.3 percent. While for the Next 5 years, the company could expect a growth of 22% per annum, whereas in the past Five years Nokia Corporation (NYSE:NOK) showed a growth of 10.46 Percent per annum.

Sell side analysts plays vital role in buying and selling a stock where 2 analysts rated Nokia Corporation (NYSE:NOK) as Buy, 0 analysts given Outperform signal, 3 reported Hold, and 0 analysts rated the stock as Sell.

The stock’s current distance from 20-Day Simple Moving Average (SMA20) is -4.68% where SMA50 and SMA200 are -12.22% and -18.86% respectively.

The company shows its Return on Assets (ROA) value of -1.1%. The Return on Equity (ROE) value stands at -2.6%. While it’s Return on Investment (ROI) value is -2.6%.

Nokia Corporation (NYSE:NOK) currently has a Weekly Volatility of 1.58% percent while its Monthly Volatility is at 1.36% percent. While talking about Performance of the Stock, Nokia Corporation currently has a Weekly performance of -5.98%, monthly performance percentage is -7.27 percent, Quarterly performance is -23.75 percent, 6 months performance shows a percent value of -27.61% and Yearly Performance is 3.28 percent.

Company Profile:

Nokia is the world leader in mobile communications. Backed by its experience, innovation, user-friendliness and secure solutions, the company has become the leading supplier of mobile phones and a leading supplier of mobile, fixed and IP networks. By adding mobility to the Internet Nokia creates new opportunities for companies and further enriches the daily lives of people.  Nokia is a broadly held company with listings on six major exchanges.