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NOKNokia Oyj
$13.49$77.2B
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HomeStocksNOKP/E History

NOK logoNokia Oyj (NOK) P/E Ratio History

Expensive

Trading at 106.5x vs 5Y avg 27.6x · 100th percentile · Material premium to history · Data 1999–2026

Current P/E (TTM)
106.5x
+286% vs 5Y avg
5Y Avg P/E
27.6x
Median 24.7x
5Y Percentile
100th
Upper end of range
PEG Ratio
N/A
5-Year P/E Range
106.5x
Min5.5xMedian24.7xMax62.3x
TTM EPS$0.14
Price$13.49
Earnings Yield0.94%
EPS Growth (1Y)-52.2%
EPS Growth (5Y)N/A

Loading P/E history...

P/E Ratio Analysis

As of June 21, 2026, Nokia Oyj (NOK) trades at a price-to-earnings ratio of 106.5x, with a stock price of $13.49 and trailing twelve-month earnings per share of $0.14.

The current P/E is 286% above its 5-year average of 27.6x. Over the past five years, NOK's P/E has ranged from a low of 5.5x to a high of 62.3x, placing the current valuation at the 100th percentile of its historical range.

Compared to the Technology sector median P/E of 29.0x, NOK trades at a 267% premium to its sector peers. The sector includes 352 companies with P/E ratios ranging from 0.0x to 187.7x.

Relative to the broader market, NOK commands a significant premium over the S&P 500 median P/E of 24.4x. Investors should consider the company's growth prospects, competitive position, and earnings quality when evaluating whether the current valuation is justified.

For a comprehensive intrinsic value estimate using discounted cash flow analysis, see our NOK DCF Valuation Calculator →

Note: P/E ratio is just one valuation metric. It does not account for balance sheet strength, cash flow quality, or growth sustainability. Always conduct comprehensive due diligence before making investment decisions.

NOK Cross-Benchmark Valuation

How does the current P/E compare to sector peers and the broader market?

vs. Technology
106.5vs29.0
+267%
Above Sector
vs. S&P 500
106.5vs24.4
+336%
Above Market
PEG Analysis
N/A
P/E ÷ EPS Growth
Based on -52% EPS growth (1Y)

NOK P/E vs Peers

Carrier Network Infrastructure Equipment peers sorted by market cap

CompanyMarket CapP/E RatioPEG RatioEPS Growth (1Y)
ERIC logoERICTelefonaktiebolaget LM Ericsson (publ)
$35B13.51.19Best-
CSCO logoCSCOCisco Systems, Inc.
$471B46.9-+0%
CIEN logoCIENCiena Corporation
$61B503.8-+47%
VIAV logoVIAVViavi Solutions Inc.
$11B314.568.90+225%
CALX logoCALXCalix, Inc.
$2B146.0-+158%
QCOM logoQCOMQUALCOMM Incorporated
$238B45.121.70-44%
MRVL logoMRVLMarvell Technology, Inc.
$272B101.2-+401%Best
T logoTAT&T Inc.
$154B7.2Lowest-+104%

Lower P/E can signal a discount or weaker growth expectations; PEG adds growth context.

NOK Historical P/E Data (1999–2026)

Quarterly P/E ratios calculated from closing price and TTM EPS

QuarterPeriod EndPriceTTM EPSP/E Ratiovs Avg
FY2026 Q1-$8.04$0.1554.4x-64%
FY2025 Q4Dec 31 2025$6.47$0.1255.4x-63%
FY2025 Q3-$4.81$0.0862.3x-58%
FY2025 Q2Jun 30 2025$5.18$0.0954.8x-64%
FY2025 Q1Mar 31 2025$5.27$0.1437.4x-75%
FY2024 Q4-$4.43$0.2319.3x-87%
FY2024 Q3Sep 30 2024$4.37$0.1626.5x-82%
FY2024 Q2Jun 30 2024$3.78$0.1623.9x-84%
FY2024 Q1Mar 31 2024$3.54$0.1424.7x-84%
FY2023 Q4Dec 31 2023$3.42$0.1129.8x-80%
FY2023 Q3Sep 30 2023$3.74$0.695.5x-96%
FY2023 Q2Jun 30 2023$4.16$0.745.6x-96%
FY2023 Q1Mar 31 2023$4.91$0.776.4x-96%
FY2022 Q4Dec 31 2022$4.64$0.756.2x-96%
FY2022 Q3Sep 30 2022$4.27$0.3113.6x-91%
FY2022 Q2-$4.61$0.3015.5x-90%
FY2022 Q1-$5.46$0.2819.6x-87%
FY2021 Q4Dec 31 2021$6.22$0.2921.7x-86%
FY2020 Q3Sep 30 2020$3.91$0.1330.1x-80%
FY2020 Q2-$4.40$0.1139.9x-73%
FY2020 Q1-$3.10$0.0652.4x-65%
FY2019 Q4-$3.71$0.009275.0x+6080%
FY2016 Q3Sep 30 2016$5.79$0.2226.6x-82%
FY2016 Q2-$5.69$0.2820.5x-86%
FY2016 Q1-$5.91$0.4912.2x-92%
FY2015 Q4-$7.02$0.6211.3x-92%
FY2015 Q3Sep 30 2015$6.78$0.2824.1x-84%
FY2015 Q2-$6.85$0.4415.5x-90%
FY2015 Q1-$7.58$0.967.9x-95%
FY2014 Q4Dec 31 2014$7.86$0.869.2x-94%
FY2014 Q3-$8.46$0.7411.4x-92%
FY2014 Q2Jun 30 2014$7.56$0.5114.7x-90%
FY2011 Q3Sep 30 2011$5.66$0.1832.3x-78%
FY2011 Q2-$6.42$0.3319.3x-87%
FY2011 Q1-$8.51$0.5914.4x-90%
FY2010 Q4Dec 31 2010$10.32$0.5917.4x-88%
FY2010 Q3-$10.03$0.6515.3x-90%
FY2010 Q2Jun 30 2010$8.15$0.3622.4x-85%
FY2010 Q1Mar 31 2010$15.54$0.3051.1x-66%
FY2009 Q4-$12.85$0.2452.9x-65%
FY2009 Q3Sep 30 2009$14.62$0.14102.4x-32%
FY2009 Q2-$14.58$0.5825.0x-83%
FY2009 Q1-$11.67$0.7715.1x-90%
FY2008 Q4Dec 31 2008$15.60$1.0614.7x-90%
FY2008 Q3-$18.65$1.3813.5x-91%
FY2008 Q2Jun 30 2008$24.50$1.4916.4x-89%
FY2008 Q1Mar 31 2008$31.83$1.9216.6x-89%
FY2007 Q4Dec 31 2007$38.39$1.8520.8x-86%
FY2007 Q3Sep 30 2007$37.93$1.6922.4x-85%
FY2007 Q2Jun 30 2007$28.11$1.5018.7x-88%
FY2007 Q1Mar 31 2007$22.92$1.0621.6x-86%
FY2006 Q4Dec 31 2006$20.32$1.0619.2x-87%
FY2006 Q3Sep 30 2006$19.69$0.9820.1x-87%
FY2006 Q2Jun 30 2006$20.26$0.9720.9x-86%
FY2006 Q1Mar 31 2006$20.72$0.8723.8x-84%
FY2005 Q4Dec 31 2005$18.30$0.8122.6x-85%
FY2005 Q3Sep 30 2005$16.91$0.7921.4x-86%
FY2005 Q2-$16.64$0.7721.6x-86%
FY2005 Q1-$15.43$0.7420.9x-86%
FY2004 Q4Dec 31 2004$15.67$0.7221.8x-85%
FY2004 Q3-$13.72$0.7418.5x-88%
FY2004 Q2Jun 30 2004$14.54$0.7319.9x-87%
FY2004 Q1Mar 31 2004$20.28$0.7128.6x-81%
FY2003 Q4Dec 31 2003$17.00$0.7423.0x-85%
FY2003 Q3-$15.60$0.7221.7x-86%
FY2003 Q2Jun 30 2003$16.43$0.6824.2x-84%
FY2003 Q1Mar 31 2003$14.01$0.7319.2x-87%
FY2002 Q4-$15.50$0.7121.8x-85%
FY2002 Q3Sep 30 2002$13.25$0.5523.9x-84%
FY2002 Q2Jun 30 2002$14.48$0.4731.1x-79%
FY2002 Q1Mar 31 2002$20.74$0.4151.1x-66%
FY2001 Q4Dec 31 2001$24.53$0.4357.6x-62%
FY2001 Q3Sep 30 2001$15.65$0.6225.1x-83%
FY2001 Q2Jun 30 2001$22.19$0.7728.8x-81%
FY2001 Q1Mar 31 2001$24.00$0.8528.2x-81%
FY2000 Q4Dec 31 2000$43.50$0.7260.0x-60%
FY2000 Q3Sep 30 2000$39.81$0.5474.1x-51%
FY2000 Q2Jun 30 2000$49.94$0.38131.0x-13%
FY2000 Q1Mar 31 2000$55.50$0.21262.2x+75%
FY1999 Q4Dec 31 1999$47.77$0.15319.1x+113%

Average P/E for displayed period: 150.1x

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NOK — Frequently Asked Questions

Quick answers to the most common questions about buying NOK stock.

What is NOK's P/E ratio?

Nokia Oyj (NOK) trailing twelve-month P/E ratio is 106.5x, based on TTM diluted EPS of $0.14. The 5-year average P/E is 27.6x and the historical range spans 5.5x to 62.3x.

Is NOK stock overvalued or undervalued?

NOK trades at 106.5x P/E, above its 5-year average of 27.6x. The 100th percentile ranking within the 5.5x–62.3x historical range indicates a premium to historical valuation.

Is NOK stock expensive?

Yes, NOK is expensive relative to its own history. The current P/E of 106.5x is above the 5-year average of 27.6x and also above the Technology sector median of 29.0x. The stock sits at the 100th percentile of its 5-year valuation range.

What is NOK's historical P/E range?

Over the past 5 years, NOK's P/E ratio has ranged from 5.5x to 62.3x, with a median of 24.7x and an average of 27.6x. The current P/E of 106.5x places the stock at the 100th percentile of this range. Full historical data spans 1999–2026.

How does NOK's P/E compare to the S&P 500?

NOK trades at 106.5x P/E versus the S&P 500 median of 24.4x. The 336% premium to the market typically reflects higher expected earnings growth or quality.

How does NOK's valuation compare to Technology peers?

Nokia Oyj P/E of 106.5x compares to the Technology sector median of 29.0x. The premium reflects expected growth above peers or stronger fundamentals. See the peer comparison table on this page for ticker-by-ticker P/E and PEG.

What is NOK's PEG ratio?

NOK PEG ratio is N/A, based on a P/E of 106.5x and EPS growth of -52.2%. PEG normalises P/E by growth and helps compare stocks with different earnings trajectories.

What is NOK's earnings yield?

NOK earnings yield is 0.94%, the inverse of its 106.5x P/E ratio. Earnings yield represents the percentage of each dollar invested that the company earns. It can be compared directly to bond yields to assess relative attractiveness of stocks versus fixed income.

NOK P/E Ratio History (1999–2026)

Quarterly valuation multiple from closing price and trailing EPS

Current54.4x
Period Avg27.6x
Range5.5x - 62.3x
Change+36%
20 quartersJun 30, 2020 - Mar 31, 2026