Nokia Stock Price (24 Hours)
A Finnish company making telecom network equipment.
This page shows the Hyperliquid perpetual-futures reference for Nokia.
Price-discovery chart
Loading
Current reference and 24h comparison
Observed value at 2026-08-21 22:05 UTC
- Asset class
- Listed-company stock reference
- Source
- Hyperliquid / xyz:NOK
- Price unit
- USDC reference
- Current reference
- USDC 10.2035
- 24h
- +0.88% (24h)
- Method
- Prefer a finite midPx; use markPx only when midPx is unavailable
- Legs
- xyz:NOK
- Observed time
- 2026-08-21 22:05 UTC
Fundamentals SEC EDGAR retrieved 2026-08-21
Source = SEC EDGAR companyfacts API, CIK 0000924613 (Nokia Corporation). Extraction = ifrs-full tags; form 20-F; fp FY; duration 340–400 days, excluding quarters. When more than one 20-F reports the same fiscal period end, the value from the last-filed 20-F is used. Years that could not be retrieved are not drawn.
Annual revenue and net income
Axis = hundred-million EUR (100,000,000 EUR). Available annual periods = 11 (FY2015–FY2025). Revenue tag priority = Revenue → RevenueFromContractsWithCustomers; the next tag is used only for a year missing from the prior tag. Net-income tag priority = ProfitLossAttributableToOwnersOfParent → ProfitLoss, under the same per-year fallback rule.
FY2016 Net income −766,000,000 EUR, FY2017 Net income −1,494,000,000 EUR, FY2018 Net income −340,000,000 EUR, FY2020 Net income −2,523,000,000 EUR are negative, so no bars are drawn. The exact values remain in the tables.
Latest 6 annual periods (unit EUR)
| Fiscal year | Revenue | Net income | Net income / revenue |
|---|---|---|---|
| FY20202020-12-31 | 21,852,000,000 | −2,523,000,000 | −11.55% |
| FY20212021-12-31 | 22,202,000,000 | 1,623,000,000 | 7.31% |
| FY20222022-12-31 | 23,761,000,000 | 4,250,000,000 | 17.89% |
| FY20232023-12-31 | 21,138,000,000 | 665,000,000 | 3.15% |
| FY20242024-12-31 | 19,220,000,000 | 1,277,000,000 | 6.64% |
| FY20252025-12-31 | 19,889,000,000 | 651,000,000 | 3.27% |
Net income / revenue uses only the two numbers in the same row and is rounded to two decimal places.
Open all 11 available years
| Fiscal year | Revenue | Net income | Net income / revenue |
|---|---|---|---|
| FY20152015-12-31 | 12,560,000,000 | 2,466,000,000 | 19.63% |
| FY20162016-12-31 | 23,641,000,000 | −766,000,000 | −3.24% |
| FY20172017-12-31 | 23,147,000,000 | −1,494,000,000 | −6.45% |
| FY20182018-12-31 | 22,563,000,000 | −340,000,000 | −1.51% |
| FY20192019-12-31 | 23,315,000,000 | 7,000,000 | 0.03% |
| FY20202020-12-31 | 21,852,000,000 | −2,523,000,000 | −11.55% |
| FY20212021-12-31 | 22,202,000,000 | 1,623,000,000 | 7.31% |
| FY20222022-12-31 | 23,761,000,000 | 4,250,000,000 | 17.89% |
| FY20232023-12-31 | 21,138,000,000 | 665,000,000 | 3.15% |
| FY20242024-12-31 | 19,220,000,000 | 1,277,000,000 | 6.64% |
| FY20252025-12-31 | 19,889,000,000 | 651,000,000 | 3.27% |
Market observations Retrieved: —
Source = values returned for xyz:NOK by Hyperliquid metaAndAssetCtxs (dex="xyz"). They are read from the same response and retrieval loop as the reference value above.
24h volume —
Comparison = nominal dayNtlVlm and contract quantity dayBaseVlm. The retrieval time changes how much of a cash-market session falls within the rolling period.
- Nominal dayNtlVlm
- —
- Quantity dayBaseVlm
- —
- Nominal / quantity
- —
Open interest (OI) —
Comparison = nominal open interest is openInterest multiplied by markPx. Hyperliquid does not provide open-interest history through this public response, so no historical comparison is shown.
- openInterest (contracts)
- —
- markPx
- —
- Nominal (contracts × markPx)
- —
Funding rate —
Comparison = the provided hourly funding value. The daily and annual fields are simple multiplications, not accumulated amounts that actually occurred.
- Hourly (provided)
- —
- ×24 (daily conversion)
- —
- ×24×365 (365-day conversion)
- —
Nominal values use USDC and quantities use contracts. Every displayed number is either the original response string or the result of only the formula printed beside it.
Observation log (13 daily snapshots) Latest: 2026-08-21 22:05:05.650 UTC
Observation time = each capturedAt in UTC. Comparison basis = midPx against prevDayPx in the same xyz:NOK snapshot. Open interest is openInterest; turnover is dayNtlVlm in USDC.
Only stored daily snapshots are listed. Missing values are shown as —; there is no interpolation, carry-forward, or markPx substitution.
| Observed at (UTC) | midPx | prevDayPx | vs prevDayPx | openInterest | dayNtlVlm (USDC) |
|---|---|---|---|---|---|
| 9.4099 | 9.396 | +0.15% | 99363.66 | 78256.181689 | |
| 9.3813 | 9.4208 | -0.42% | 97364.5 | 34643.228525 | |
| 9.1732 | 9.402 | -2.43% | 128293.66 | 621899.6868540001 | |
| 9.4778 | 9.1759 | +3.29% | 119312.62 | 617997.8130320001 | |
| 10.313 | 9.4789 | +8.80% | 93796.28 | 1658264.2067159999 | |
| 10.6785 | 10.326 | +3.41% | 116036.96 | 873311.8391399998 | |
| 10.7825 | 10.702 | +0.75% | 109797.48 | 572316.6471099999 | |
| 10.689 | 10.787 | -0.91% | 108975.42 | 74978.0488 | |
| 10.8205 | 10.729 | +0.85% | 126193.72 | 1059844.6308800001 | |
| 10.324 | 10.834 | -4.71% | 110796.54 | 1051161.6619299992 | |
| 10.1575 | 10.322 | -1.59% | 211083.3 | 1815198.6585299999 | |
| 10.1125 | 10.15 | -0.37% | 196753.4 | 475666.0223409999 | |
| 10.2035 | 10.114 | +0.88% | 294699.04 | 959178.0095399996 |
Ratio = (midPx / prevDayPx - 1) × 100, rounded to two decimal places. Raw strings are shown for midPx, prevDayPx, openInterest, and dayNtlVlm.
Missing snapshot dates in the displayed period: 2026-08-16.
Period range (13 finite midPx observations)
Comparison basis = the first, last, highest, and lowest finite midPx among the rows above. These are daily observation values, not intraday highs or lows.
- First finite midPx observation2026-08-08 22:05:00.098 UTC
- 9.4099
- Last finite midPx observation2026-08-21 22:05:05.650 UTC
- 10.2035
- Highest finite midPx observation2026-08-17 22:05:03.010 UTC
- 10.8205
- Lowest finite midPx observation2026-08-10 22:05:04.501 UTC
- 9.1732
How to read the chart
This reference chart uses candles for the same Hyperliquid contract. It is not the official cash-market chart.
Market hours
| Market hours | New York time 09:30-16:00 |
|---|---|
| Days | Weekdays. Check the related venue calendar for holidays. |
| Outside the cash session | Shown as a perpetual-futures reference. |
Other symbols in this group
Related articles
Frequently asked questions
What are Nokia's annual revenue and net income?
The latest available annual filing (20-F) reports FY2025 ending 2025-12-31: revenue 19,889,000,000 EUR and net income 651,000,000 EUR. The figures were retrieved from SEC EDGAR on 2026-08-21. A missing figure is omitted rather than estimated.
Which diluted EPS figures are shown for Nokia?
Only annual diluted-EPS values whose share basis matches exactly across overlapping annual filings are shown. No stock-split ratio or backward adjustment is calculated here.
Are the Nokia chart and the figures below the same data?
No. The chart and Market observations use the live Hyperliquid perpetual-futures response. Fundamentals use annual figures filed with the SEC and retrieved on 2026-08-21.
Basis of the reference value
This page shows the Hyperliquid perpetual-futures reference for Nokia.
This reference chart uses candles for the same Hyperliquid contract. It is not the official cash-market chart.
Reference = Hyperliquid perpetual-futures reference. Not a cash price, official index, or exchange close.
24h = comparison against Hyperliquid prevDayPx for the same contract. Not a cash previous close.
Fundamental figures are the values filed by the issuer in its annual report (20-F) and retrieved through the SEC EDGAR companyfacts API. No estimate or interpolation is used.
Prices are Hyperliquid perpetual-futures reference values, not cash-market prices or official index values. This site does not provide investment advice.