NOK
Nokia Oyj (NOK)
Last Price$5.04.4%
Market Cap$27.8B
P/OCF LTM
6.9x
5Y avg
72.0x
Communication Equipment industry median
6.7x
Stock quality & Intrinsic value
7/10
0.6% undervalued

Nokia Oyj P/OCF LTM

Annual
Quarterly
Daily
Crunching data... Almost there!
Dec'04Dec'05Dec'06Dec'07Dec'08Dec'09Dec'10Dec'11Dec'12Dec'13Dec'14Dec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23
P/OCF LTM
14.8x
17.0x
15.8x
14.7x
6.7x
23.4x
7.4x
4.7x
(37.8x)
36.9x
21.7x
91.5x
(17.5x)
65.4x
29.5x
98.8x
7.2x
10.3x
17.4x
1,222.5x
NOK
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Nokia Oyj (NOK) P/OCF LTM comparison analysis

NOK key stats

USD
EUR
Millions
Billions
Annual
Quarterly
Trailing
Key stats
Income statement
Balance sheet
Cash Flow Statement
Valuation
Ratios
Per share
Per employee
Dividends & Yields
Dec'04Dec'05Dec'06Dec'07Dec'08Dec'09Dec'10Dec'11Dec'12Dec'13Dec'14Dec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23
% growth
36,388.9
0.0%
42,543.3
16.9%
51,647.4
21.4%
70,101.0
35.7%
74,756.8
6.6%
57,157.1
(23.5%)
56,323.5
(1.5%)
53,812.8
(4.5%)
38,797.9
(27.9%)
16,882.1
(56.5%)
16,916.0
0.2%
13,878.8
(18.0%)
26,130.1
88.3%
26,138.9
0.0%
26,641.2
1.9%
26,099.3
(2.0%)
24,965.1
(4.3%)
26,259.6
5.2%
26,251.4
(0.0%)
24,069.2
(8.3%)
Cost of Goods Sold (COGS)22,545.627,633.934,844.046,343.249,144.838,658.939,316.138,056.928,010.79,782.09,425.27,822.716,772.015,819.816,668.616,779.015,587.415,811.115,479.414,675.3
% margin
13,843.3
38.0%
14,909.3
35.0%
16,803.4
32.5%
23,757.8
33.9%
25,612.0
34.3%
18,498.2
32.4%
17,007.5
30.2%
15,755.9
29.3%
10,787.2
27.8%
7,100.1
42.1%
7,490.8
44.3%
6,056.1
43.6%
9,358.1
35.8%
10,319.1
39.5%
9,972.6
37.4%
9,320.3
35.7%
9,377.8
37.6%
10,448.5
39.8%
10,772.0
41.0%
9,393.9
39.0%
Operating Expenses8,460.09,137.49,911.512,795.118,289.615,562.614,260.715,732.213,748.26,410.75,658.64,194.09,652.59,633.79,544.08,409.18,329.77,896.18,329.37,568.5
Research & Development Expenses (R&D)4,641.74,759.54,894.47,752.98,798.38,240.87,779.97,811.86,148.33,479.03,312.32,360.75,426.55,551.45,455.14,937.84,666.04,984.24,794.84,679.1
Selling, General & Administrative Expenses (SG&A)3,699.04,442.04,999.17,633.48,350.37,081.96,624.16,837.45,353.72,219.72,171.01,833.34,225.94,082.34,088.93,471.33,308.63,302.33,175.13,167.3
5,383.3
14.8%
5,772.0
13.6%
6,892.9
13.3%
10,962.7
15.6%
7,321.3
9.8%
1,669.4
2.9%
2,746.8
4.9%
(1,493.6)
(2.8%)
(2,961.0)
(7.6%)
689.4
4.1%
225.9
1.3%
1,874.3
13.5%
(1,217.2)
(4.7%)
18.1
0.1%
(69.7)
(0.3%)
911.2
3.5%
1,048.1
4.2%
2,552.4
9.7%
2,442.7
9.3%
1,825.4
7.6%
Interest Income0.00.00.0327.60.00.0183.1277.0167.1179.397.041.1125.067.889.781.767.488.7183.4440.1
Interest Expense0.00.00.00.02.9369.6378.2142.0344.6429.1519.5154.3350.8574.8333.0344.8268.3243.6233.9387.1
Pre-tax Income5,855.16,185.17,187.911,351.97,326.61,341.62,369.9(1,667.6)(3,399.4)322.8(314.9)1,710.0(1,514.9)(575.9)(425.1)174.6952.22,278.02,301.51,621.0
% effective tax rate
1,784.3
30.5%
1,593.9
25.8%
1,704.4
23.7%
2,090.1
18.4%
1,593.2
21.7%
979.0
73.0%
587.8
24.8%
403.7
(24.2%)
1,472.2
(43.3%)
268.3
83.1%
(1,870.7)
594.1%
384.2
22.5%
(505.7)
33.4%
1,046.8
(181.8%)
223.2
(52.5%)
154.5
88.5%
3,716.2
390.3%
321.7
14.1%
(2,135.0)
(92.8%)
892.1
55.0%
% margin
3,968.9
10.9%
4,499.8
10.6%
5,408.3
10.5%
9,876.7
14.1%
5,865.2
7.8%
1,242.6
2.2%
1,782.1
3.2%
(1,620.3)
(3.0%)
(3,993.5)
(10.3%)
(816.9)
(4.8%)
4,599.7
27.2%
2,738.2
19.7%
(847.6)
(3.2%)
(1,687.1)
(6.5%)
(401.5)
(1.5%)
20.1
0.1%
(2,764.0)
(11.1%)
1,919.6
7.3%
4,478.7
17.1%
719.1
3.0%
EPS0.871.031.332.551.570.330.48(0.43)(1.09)(0.23)1.250.74(0.14)(0.29)(0.07)0.00(0.49)0.340.800.13
Diluted EPS0.871.031.322.521.560.330.48(0.43)(1.08)(0.23)1.120.69(0.14)(0.29)(0.07)0.00(0.49)0.340.790.13
% margin
6,458.1
17.7%
6,658.3
15.7%
7,786.5
15.1%
12,987.0
18.5%
9,690.5
13.0%
4,199.2
7.3%
5,083.5
9.0%
399.5
0.7%
532.3
1.4%
1,926.1
11.4%
2,244.0
13.3%
2,229.7
16.1%
599.8
2.3%
1,795.5
6.9%
1,625.9
6.1%
2,769.4
10.6%
2,340.4
9.4%
3,816.8
14.5%
3,736.8
14.2%
3,183.6
13.2%

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FAQ

1) What is Nokia Oyj's P/OCF LTM?

As of today, Microsoft Corp's last 12-month P/OCF LTM is 6.9x, based on the financial report for Sep 27, 2024 (Q3’2024). The average annual P/OCF LTM for Nokia Oyj have been 94.2x over the past three years, and 75.6x over the past five years.

2) Is Nokia Oyj's P/OCF LTM Good?

As of today, Nokia Oyj's P/OCF LTM is 6.9x, which is higher than industry median of 6.7x. It indicates that Nokia Oyj's P/OCF LTM is Bad.

3) How does Nokia Oyj's P/OCF LTM compare to its peers?

As of today, Nokia Oyj's P/OCF LTM is 6.9x, which is lower than peer median of 17.4x. The list of peers includes CRDO, MSI, UI, CIEN, CSCO, ZBRA, JNPR, SATS, ERIC, HPE.