Nokia Oyj (NOK) Stock Total Returns

Growth of $10,000 chart

2021-04-21 to 2026-04-21
to
$
%
%
Loading chart…

Investment Performance

Final Value
$26,887
Total Return
168.87%
CAGR
21.88%
Dividends
$1,102.16
Yield on Cost
11.02%

Rolling Returns

1-Month (21 Trading Days)
Average+1.72%
Median+1.51%
Best+65.32%
Worst-21.75%
% of Windows Positive55.7%
1-Year (252 Trading Days)
Average+7.45%
Median-3.70%
Best+118.25%
Worst-39.10%
% of Windows Positive45.9%
3-Year (756 Trading Days)
Average+10.50%
Median-1.76%
Best+130.35%
Worst-37.52%
% of Windows Positive48.0%

Risk Metrics

Maximum Drawdown -51.00%
Average Drawdown -22.42%
Drawdown Duration 960 Trading Days
Sortino Ratio 1.15
Calmar Ratio 0.43
CVaR (5%) -4.67%

Yearly Returns

Year Percentage Abs. Return Dividends Taxes Trans. Costs
2026 partial +60.74% (+376.73% ann.) +$6074.19 $0.00 $0.00 $0.00
2025 +49.22% +$4921.94 $281.79 $56.36 $0.45
2024 +33.25% +$3325.24 $413.91 $82.78 $0.66
2023 -24.44% $2443.96 $262.94 $52.59 $0.42
2022 -24.64% $2464.48 $98.38 $19.68 $0.16
2021 +59.08% +$5907.93 $0.00 $0.00 $0.00
2020 +5.39% +$539.08 $0.00 $0.00 $0.00
2019 -35.19% $3518.99 $193.28 $38.66 $0.31
2018 +28.96% +$2895.71 $506.44 $101.29 $0.81
2017 -0.92% $91.54 $378.38 $75.68 $0.61
2016 -28.50% $2850.21 $425.93 $85.19 $0.68
2015 -8.91% $890.99 $202.29 $40.46 $0.32
2014 +1.98% +$198.02 $630.09 $126.02 $1.01
2013 +105.32% +$10531.65 $0.00 $0.00 $0.00
2012 -12.79% $1279.47 $524.90 $104.98 $0.84
2011 -50.82% $5081.87 $553.29 $110.66 $0.89
2010 -16.78% $1677.79 $379.77 $75.95 $0.61
2009 -15.06% $1506.33 $350.00 $70.00 $0.56
2008 -58.42% $5842.06 $217.24 $43.45 $0.35
2007 +92.28% +$9228.38 $278.05 $55.61 $0.44
2006 +12.99% +$1298.93 $249.18 $49.84 $0.40
2005 +19.40% +$1940.17 $275.05 $55.01 $0.44
2004 -6.48% $647.66 $210.59 $42.12 $0.34
2003 +11.52% +$1152.09 $196.13 $39.23 $0.31
2002 -36.24% $3624.30 $96.62 $19.32 $0.15
2001 -43.15% $4315.00 $58.62 $11.72 $0.09
2000 -8.68% $867.64 $40.14 $8.03 $0.06
1999 +219.07% +$21906.71 $85.85 $17.17 $0.14
1998 +249.99% +$24999.50 $191.51 $38.30 $0.31
1997 +21.72% +$2172.15 $119.22 $23.85 $0.19
1996 +50.10% +$5009.92 $162.31 $32.46 $0.26
1995 +5.36% +$536.00 $155.33 $31.07 $0.25
1994 partial +78.04% (+218.25% ann.) +$7804.16 $0.00 $0.00 $0.00

Market Regimes

about
Regime Period Percentage Annual Abs. Return Dividends Taxes Trans. Costs
Dot-com bubble / TMT mania August 9, 1995 – March 10, 2000 +1261.83% +76.73% +$126182.56 $735.61 $147.12 $1.18
Dot-com bust / post-bubble disinflation scare March 13, 2000 – October 9, 2002 -75.37% -41.98% $7536.67 $127.82 $25.56 $0.20
China-WTO / housing-credit / commodity boom October 10, 2002 – October 9, 2007 +186.97% +23.49% +$18697.24 $1596.58 $319.32 $2.55
GFC / deleveraging / dollar shortage October 10, 2007 – March 9, 2009 -75.59% -63.15% $7558.97 $227.12 $45.42 $0.36
Policy-led rebound / euro-sovereign-crisis overlay March 10, 2009 – July 25, 2012 -77.31% -35.56% $7731.17 $2002.04 $400.41 $3.20
Secular stagnation / QE / low inflation / duration bull July 26, 2012 – February 19, 2020 +149.99% +12.87% +$14998.80 $7952.05 $1590.41 $12.73
Pandemic shock / liquidity crash February 20, 2020 – March 23, 2020 -36.30% -99.42% $3629.81 $0.00 $0.00 $0.00
Policy bazooka / monetary euphoria March 24, 2020 – November 6, 2020 +19.73% +33.60% +$1972.79 $0.00 $0.00 $0.00
Reopening reflation / fiscal boom / supply bottlenecks November 9, 2020 – November 29, 2021 +53.97% +50.60% +$5397.26 $0.00 $0.00 $0.00
Inflation shock / duration crash / aggressive tightening November 30, 2021 – November 9, 2022 -20.99% -22.13% $2099.19 $109.27 $21.86 $0.17
Disinflation rebound / AI-led narrow bull / higher-for-longer November 10, 2022 – September 17, 2024 -5.30% -2.89% $529.84 $501.10 $100.22 $0.80
Disinflationary easing / resilient growth / AI capex under oil-shock test partial September 18, 2024 – April 21, 2026 +155.02% +80.32% +$15501.56 $378.36 $75.67 $0.61

Dividend History

Annual Dividends Per Share
TTM Yield
Consecutive Years Paid
current
Consecutive Years of Growth
current

Date Per Share Yield %
1995-03-30 $0.0364 1.63%
1996-04-04 $0.0396 1.96%
1997-03-27 $0.0429 1.13%
1998-03-25 $0.0832 1.24%
1999-03-18 $0.1293 0.70%
2000-03-23 $0.1918 0.35%
2001-03-22 $0.2550 1.02%
2002-03-22 $0.2370 1.11%
2003-03-28 $0.3040 2.05%
2004-03-26 $0.3580 1.78%
2005-04-08 $0.4310 2.76%
2006-03-31 $0.4560 2.14%
2007-05-04 $0.5650 2.20%
2008-05-09 $0.8340 2.81%
2009-04-24 $0.5460 3.69%
2010-05-07 $0.4880 4.35%
2011-05-04 $0.5710 6.13%
2012-05-04 $0.2530 7.15%
2014-06-19 $0.5110 6.13%
2015-05-05 $0.1590 2.43%
2016-06-16 $0.2990 5.32%
2017-05-24 $0.1820 2.78%
2018-05-31 $0.2360 3.95%
2019-05-22 $0.0560 1.10%
2019-07-29 $0.0560 0.98%
2022-05-02 $0.0210 0.42%
2022-07-25 $0.0200 0.39%
2022-10-24 $0.0200 0.47%
2023-01-30 $0.0220 0.47%
2023-04-24 $0.0330 0.78%
2023-07-24 $0.0340 0.86%
2023-10-23 $0.0320 1.01%
2024-01-29 $0.0320 0.84%
2024-04-22 $0.0430 1.22%
2024-07-23 $0.0320 0.86%
2024-10-22 $0.0330 0.69%
2025-02-04 $0.0310 0.67%
2025-05-05 $0.0460 0.91%
2025-07-29 $0.0470 1.10%
Total 39 payments

Portfolio Dividend Returns

Based on $10,000 initial investment, 20% tax rate, 0.2% transaction cost. Showing 2021-04-21 to 2026-04-21. Change
Date Total Yield Tax Trans. Cost Shares Bought
2022-05-02 $49.88 $9.98 $0.08 7.7632
2022-07-25 $47.66 $9.53 $0.08 7.4467
2022-10-24 $47.81 $9.56 $0.08 8.8978
2023-01-30 $52.79 $10.56 $0.08 8.8914
2023-04-24 $79.47 $15.90 $0.13 15.1076
2023-07-24 $82.40 $16.48 $0.13 16.6123
2023-10-23 $78.08 $15.62 $0.12 19.7277
2024-01-29 $78.71 $15.74 $0.13 16.3230
2024-04-22 $106.47 $21.29 $0.17 23.0369
2024-07-23 $79.97 $15.99 $0.13 17.2100
2024-10-22 $83.04 $16.61 $0.13 14.0760
2025-02-04 $78.44 $15.69 $0.12 13.2687
2025-05-05 $117.01 $23.40 $0.19 18.6466
2025-07-29 $120.43 $24.09 $0.19 23.0024
Total $1102.16 $220.43 $1.76 210.0102

All calculations use split-adjusted closing prices. Dividends are reinvested on the ex-dividend date at that day's closing price.

For each rolling window, returns are calculated at every possible starting point:

return = (value[i] ÷ value[i − windowSize] − 1) × 100

Windows
1-month = 21 trading days, 1-year = 252 trading days, 3-year = 756 trading days.
Statistics
Average: arithmetic mean. Median: middle value when sorted. Best / Worst: max and min. % Positive: share of windows with return > 0.

The series is segmented by calendar year:

return = (endValue ÷ startValue − 1) × 100

startValue is the last value of the prior year (or the first value for the initial year). Partial first/last years are flagged. Dividends, taxes, and transaction costs are scaled proportionally to the initial investment.

COGT

CAGR -2.34% Total -17.35% Final $8,265
2018-03-29 — 2026-04-21
LXP

CAGR 7.00% Total 800.71% Final $90,071
1993-10-22 — 2026-04-21
TLSI

CAGR -14.97% Total -56.94% Final $4,306
2021-02-08 — 2026-04-21