NOK — Put-Selling Research

by ThetaLoop Research
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Last close: 2026-04-02
Nokia Oyj
Technology · $8.82
1.0
/10
Avoid
How this score works →
Regime
Bullish
vs SMA200
SMA200 Distance
+47.3%
Above trend
Volatility
High
Rich premiums
Momentum
Accelerating
Price direction
About Nokia Oyj
Nokia is a global telecom equipment maker focused on 5G networks, cloud infrastructure, and enterprise solutions. Low-to-moderate volatility with a small ~1.5% dividend yield. Stable but slow-growth. CSP premiums are modest, making it better suited for patient sellers seeking steady, lower-risk income in calm market environments.
Communication Equipment
Market Cap
$49.2B
P/E Ratio
67.8
Dividend
183.00%
Beta
0.51
52-Week Range Current: $8.82
$4 $8.84
Earnings
2026-04-23
18 days away
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