Nokia Corp. (NOK) Volatility

    Technology
    Market data as of 2026-09-04 · Autonium metric computed 2026-09-04 · model v1

    NOK volatility — the short answer

    NOK's realised volatility is 48.1% annualised over 20 days and 64.1% over 60 days, placing it in the 50th percentile of its own last year.

    Volatility and drawdown

    Realised volatility (20d, annualised)+48.1%
    Realised volatility (60d, annualised)+64.1%
    1-year volatility percentile50
    Current drawdown from peak-40.5%
    Deepest 1-year drawdown-50.1%
    SPY volatility (20d)+8.1%

    Signal drivers

    MomentumPositive
    Technical trendNegative
    VolatilityNeutral
    SentimentNeutral

    NOK's Algo Score fell 20 points over the last seven days. The factors currently reading positive are momentum; reading negative: technical trend.

    Sector peers — 20-day volatility

    AAPL — Apple Inc.21.5
    GOOGL — Alphabet Inc.21.7
    AMD — Advanced Micro Devices46.0
    META — Meta Platforms Inc.33.0
    NVDA — NVIDIA Corp.44.8

    Score history

    • 2026-09-0734
    • 2026-09-0434
    • 2026-09-0327
    • 2026-09-0223
    • 2026-09-0134
    • 2026-08-3154
    • 2026-08-2855
    • 2026-08-2759
    • 2026-08-2659
    • 2026-08-2554
    • 2026-08-2451
    • 2026-08-2143

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    Autonium publishes research, not recommendations. Scores, factors and written reads describe historical and current data and are not buy or sell advice. Not financial advice. Market data is refreshed on a schedule and may lag. See our methodology and disclosures.