Nokia Oyj (NOK) Return on Invested Capital (ROIC)

Price: $4.725
Market Cap: $25.76B
Avg Volume: 18.03M
Country: FI
Industry: Communication Equipment
Sector: Technology
Beta: 0.73
52W Range: $2.94-4.82
Website: Nokia Oyj

Return on Invested Capital (ROIC) Summary

Nokia Oyj's ROIC measures how effectively the company uses its invested capital to generate profits:

  • Annual: 3.98%
  • Quarterly: 1.21%
  • TTM: 4.14%

What is ROIC?

Return on Invested Capital (ROIC) measures how effectively a company uses its capital from debt and equity to generate profits. ROIC is a useful metric for comparing the efficiency of capital allocation between different companies or across time periods within the same company. A higher ROIC indicates a more efficient use of capital.

Related Metrics

Other important metrics to assess Nokia Oyj's profitability include:

  • ROE (Return on Equity) - measures the return generated on shareholders' equity:
    • Annual: 3.24%
    • Quarterly: -0.69%
    • TTM: 1.80%
  • ROA (Return on Assets) - measures the return generated on the company's assets:
    • Annual: 1.49%
    • Quarterly: -0.37%
    • TTM: 0.97%

These metrics provide insights into Nokia Oyj's profitability and efficiency in using its capital and assets to generate returns. Comparing these ratios with industry benchmarks can offer a deeper understanding of the company's performance.

Annual ROIC

3.98%

Quarterly ROIC

1.21%

TTM ROIC

4.14%

Nokia Oyj Historical ROIC
Historical ROE
Historical ROA

Nokia Oyj Historical Profitability Metrics

The table below shows various profitability metrics for each year, with the latest data available for the last fiscal year 2023.

Year ROIC ROE ROA
2023 3.98% 3.24% 1.49%
2022 16.64% 19.92% 9.90%
2021 8.05% 9.35% 4.05%
2020 -13.99% -19.28% -6.67%
2019 0.46% 0.12% 0.05%
2018 -0.47% -2.22% -0.86%
2017 0.23% -9.26% -3.64%
2016 -3.04% -3.81% -1.71%
2015 10.45% 23.61% 11.82%
2014 -7.43% 40.20% 16.44%