Nokia Oyj (Czech Republic) Buy Hold or Sell Recommendation

NOKIA Stock  CZK 99.61  0.19  0.19%   
Assuming the 90 days trading horizon and your typical level of risk aversion, our recommendation regarding Nokia Oyj is 'Strong Sell'. A buy or sell recommendation provided by Macroaxis is an automated directive regarding whether to purchase or sell Nokia Oyj given historical horizon and risk tolerance towards Nokia Oyj. When Macroaxis issues a 'buy' or 'sell' recommendation for Nokia Oyj, the advice is generated through an automated system that utilizes algorithms and statistical models.
  
Check out Nokia Oyj Analyst Recommendation to compare Macroaxis Buy or Sell Recommendation with the current analyst consensus. To check ratings for multiple equity instruments, please use the Instant Ratings tool.
Note, we conduct extensive research on individual companies such as Nokia and provide practical buy, sell, or hold advice based on investors' constraints. Nokia Oyj. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in nation.

Execute Nokia Oyj Buy or Sell Advice

The Nokia recommendation should be used to complement the buy-or-sell advice compiled from the current analysts' consensus on Nokia Oyj. Macroaxis does not own or have any residual interests in Nokia Oyj or other equities on which the buy-or-sell advice is provided. Please provide your input below to execute Nokia Oyj's advice using the current market data and latest reported fundamentals.

Time Horizon

Risk Tolerance

Execute Advice
Sell Nokia OyjBuy Nokia Oyj
Strong Sell

Market Performance

ModestDetails

Volatility

Very steadyDetails

Hype Condition

StaleDetails

Current Valuation

OvervaluedDetails

Odds Of Distress

LowDetails

Economic Sensitivity

Moves indifferently to market movesDetails

Analyst Consensus

Not AvailableDetails

Reporting Quality (M-Score)

InapplicableDetails
For the selected time horizon Nokia Oyj has a Mean Deviation of 1.15, Semi Deviation of 1.31, Standard Deviation of 1.83, Variance of 3.36, Downside Variance of 3.86 and Semi Variance of 1.73
Macroaxis provides trade recommendations on Nokia Oyj to complement and cross-verify current analyst consensus on Nokia Oyj. Our advice engine determines the firm's potential to grow exclusively from the perspective of an investor's current risk tolerance and investing horizon. To make sure Nokia Oyj is not overpriced, please verify all Nokia Oyj fundamentals, including its price to book, cash and equivalents, cash flow from operations, as well as the relationship between the gross profit and debt to equity .

Nokia Oyj Trading Alerts and Improvement Suggestions

The company reported the revenue of 22.02 B. Net Loss for the year was (2.15 B) with profit before overhead, payroll, taxes, and interest of 8.59 B.

Nokia Oyj Returns Distribution Density

The distribution of Nokia Oyj's historical returns is an attempt to chart the uncertainty of Nokia Oyj's future price movements. The chart of the probability distribution of Nokia Oyj daily returns describes the distribution of returns around its average expected value. We use Nokia Oyj price's Value At Risk and its Upside Potential as a relative measure of the distribution. The graph of the distribution of Nokia Oyj returns is essential to provide solid investment advice for Nokia Oyj.
Mean Return
0.15
Value At Risk
-2.82
Potential Upside
3.29
Standard Deviation
1.83
   Return Density   
       Distribution  
Investment risk management requires an estimate of the probability of extreme price changes. Therefore, the correct representation of the distribution of Nokia Oyj historical returns presented in an easy-to-digest graphical form helps investors and money managers understand the risk-reward trade-off of different investement strategies.

Nokia Oyj Greeks

Most traded equities are subject to two types of risk - systematic (i.e., market) and unsystematic (i.e., nonmarket or company-specific) risk. Unsystematic risk is the risk that events specific to Nokia Oyj or Technology sector will adversely affect the stock's price. This type of risk can be diversified away by owning several different stocks in different industries whose stock prices have shown a small correlation to each other. On the other hand, systematic risk is the risk that Nokia Oyj's price will be affected by overall stock market movements and cannot be diversified away. So, no matter how many positions you have, you cannot eliminate market risk. However, you can measure a Nokia stock's historical response to market movements and buy it if you are comfortable with its volatility direction. Beta and standard deviation are two commonly used measures to help you make the right decision.
α
Alpha over Dow Jones
0.16
β
Beta against Dow Jones-0.12
σ
Overall volatility
1.87
Ir
Information ratio 0.01

Nokia Oyj Volatility Alert

Nokia Oyj has relatively low volatility with skewness of 0.69 and kurtosis of 2.75. Understanding different market volatility trends often help investors to time the market. Properly using volatility indicators enable traders to measure Nokia Oyj's stock risk against market volatility during both bullish and bearish trends. The higher level of volatility that comes with bear markets can directly impact Nokia Oyj's stock price while adding stress to investors as they watch their shares' value plummet. This usually forces investors to rebalance their portfolios by buying different financial instruments as prices fall.

Nokia Oyj Fundamentals Vs Peers

Comparing Nokia Oyj's fundamentals to the average values of its peers is one of the most widely used and accepted methods of equity analyses. It helps to analyze Nokia Oyj's direct or indirect competition across all of the common fundamentals between Nokia Oyj and the related equities. This way, we can detect undervalued stocks with similar characteristics as Nokia Oyj or determine the stocks which would be an excellent addition to an existing portfolio. Peer analysis of Nokia Oyj's fundamental indicators could also be used in its relative valuation, which is a method of valuing Nokia Oyj by comparing valuation metrics with those of similar companies.
    
 Better Than Average     
    
 Worse Than Average Compare Nokia Oyj to competition
FundamentalsNokia OyjPeer Average
Return On Equity-14.37-0.31
Return On Asset3.47-0.14
Profit Margin(9.74) %(1.27) %
Operating Margin9.66 %(5.51) %
Current Valuation611.75 B16.62 B
Shares Outstanding5.63 B571.82 M
Shares Owned By Insiders5.85 %10.09 %
Shares Owned By Institutions28.79 %39.21 %
Price To Book52.44 X9.51 X
Price To Sales32.77 X11.42 X
Revenue22.02 B9.43 B
Gross Profit8.59 B27.38 B
EBITDA3.02 B3.9 B
Net Income(2.15 B)570.98 M
Cash And Equivalents9.03 B2.7 B
Cash Per Share1.60 X5.01 X
Total Debt6.19 B5.32 B
Debt To Equity0.45 %48.70 %
Current Ratio1.60 X2.16 X
Book Value Per Share2.43 X1.93 K
Cash Flow From Operations2.93 B971.22 M
Earnings Per Share(0.38) X3.12 X
Number Of Employees92.04 K18.84 K
Beta0.57-0.15
Market Capitalization721.5 B19.03 B
Z Score69.68.72
Last Dividend Paid0.05

Nokia Oyj Market Momentum

Traders often use several daily momentume indicators to supplement a more traditional technical analysis when analyzing securities such as Nokia . With many different options, investors must choose the best indicators for them and familiarize themselves with how they work. We suggest combining traditional momentum indicators with more near-term forms of technical analysis such as Accumulation Distribution or Daily Balance Of Power. With their quantitative nature, daily value technical indicators can also be incorporated into your automated trading systems.

About Nokia Oyj Buy or Sell Advice

When is the right time to buy or sell Nokia Oyj? Buying financial instruments such as Nokia Stock isn't very hard. However, what challenging for most investors is doing it at the right time to beat the market. Proper market timing is something most people cannot do without sophisticated tools, which help to isolate the right opportunities. Macroaxis provides hands-on modules to deliver winning trades and diversify your portfolios on a daily basis. Most of our advising modules are very easy to use and apply.
Please read more on our stock advisor page.

Use Investing Ideas to Build Portfolios

In addition to having Nokia Oyj in your portfolios, you can quickly add positions using our predefined set of ideas and optimize them against your very unique investing style. A single investing idea is a collection of funds, stocks, ETFs, or cryptocurrencies that are programmatically selected from a pull of investment themes. After you determine your investment opportunity, you can then find an optimal portfolio that will maximize potential returns on the chosen idea or minimize its exposure to market volatility.

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Run Books Thematic Idea Now

Books
Books Theme
Companies involved in publishing of books, newspapers, periodicals and other mass publications. The Books theme has 47 constituents at this time.
You can either use a buy-and-hold strategy to lock in the entire theme or actively trade it to take advantage of the short-term price volatility of individual constituents. Macroaxis can help you discover thousands of investment opportunities in different asset classes. In addition, you can partner with us for reliable portfolio optimization as you plan to utilize Books Theme or any other thematic opportunities.
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Additional Tools for Nokia Stock Analysis

When running Nokia Oyj's price analysis, check to measure Nokia Oyj's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Nokia Oyj is operating at the current time. Most of Nokia Oyj's value examination focuses on studying past and present price action to predict the probability of Nokia Oyj's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Nokia Oyj's price. Additionally, you may evaluate how the addition of Nokia Oyj to your portfolios can decrease your overall portfolio volatility.