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Ken Fisher’s NOK Holdings & Trades

First Buy
Q2 2013
Duration Held
42 Quarters
Largest Add
Q2 2025
+22,436 Shares
Current Position
31,624 Shares
$204,612 Value

Ken Fisher's NOK Position Overview

Ken Fisher (via Fisher Asset Management, LLC) currently holds 31,624 shares of Nokia Oyj (NOK) worth $204,612, representing 0.00% of the portfolio. First purchased in 2013-Q2, this long-term strategic position has been held for 42 quarters.

Based on 13F filings since 2013, Ken Fisher has maintained a long-term strategic position in NOK, representing a significant commitment to this investment thesis. Largest addition occurred in Q2 2025, adding 22,436 shares. Largest reduction occurred in Q1 2019, reducing 17,895 shares.

Analysis based on 13F filings available since 2013 Q2

Ken Fisher's Nokia Oyj (NOK) Holding Value Over Time

Track share changes against reported price movement

Quarterly Nokia Oyj (NOK) Trades by Ken Fisher

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q4 2025 +9,481 Add 42.82% 31,624 $6.47
Q3 2025 -293 Reduce 1.31% 22,143 $4.81
Q2 2025 +22,436 New Buy 22,436 $5.18
Q4 2022 -10,042 Sold Out 0 $0.00
Q3 2022 -3,336 Reduce 24.94% 10,042 $4.28
Q2 2022 +13,378 New Buy 13,378 $4.63
Q1 2022 -12,684 Sold Out 0 $0.00
Q4 2021 -2,569 Reduce 16.84% 12,684 $6.23
Q3 2021 +1,843 Add 13.74% 15,253 $5.44
Q2 2021 +809 Add 6.42% 13,410 $5.29
Q1 2021 +1,702 Add 15.62% 12,601 $3.97
Q4 2020 -190 Reduce 1.71% 10,899 $3.95
Q3 2020 -369 Reduce 3.22% 11,089 $3.88
Q2 2020 +958 Add 9.12% 11,458 $4.36
Q1 2020 -4,363 Reduce 29.35% 10,500 $3.14
Q4 2019 +3,285 Add 28.37% 14,863 $3.70
Q3 2019 +1,148 Add 11.01% 11,578 $5.10
Q2 2019 -5,572 Reduce 34.82% 10,430 $4.99
Q1 2019 -17,895 Reduce 52.79% 16,002 $5.75
Q4 2018 +3,034 Add 9.83% 33,897 $5.81
Q3 2018 +154 Add 0.50% 30,863 $5.57
Q2 2018 +621 Add 2.06% 30,709 $5.76
Q1 2018 -2,338 Reduce 7.21% 30,088 $5.48
Q4 2017 +1,773 Add 5.78% 32,426 $4.66
Q3 2017 -2,582 Reduce 7.77% 30,653 $5.97
Q2 2017 +21,170 Add 175.47% 33,235 $6.17
Q1 2017 -8,661 Reduce 41.79% 12,065 $5.39
Q4 2016 +9,727 Add 88.44% 20,726 $4.82
Q3 2016 -975 Reduce 8.14% 10,999 $5.82
Q2 2016 -294 Reduce 2.40% 11,974 $5.60
Q1 2016 -2,837 Reduce 18.78% 12,268 $6.11
Q4 2015 +3,137 Add 26.21% 15,105 $7.02
Q3 2015 +91 Add 0.77% 11,968 $6.77
Q1 2015 -300 Reduce 2.46% 11,877 $7.58
Q4 2014 -100 Reduce 0.81% 12,177 $7.88
Q3 2014 +400 Add 3.37% 12,277 $8.47
Q2 2014 -400 Reduce 3.26% 11,877 $7.58
Q1 2014 +400 Add 3.37% 12,277 $7.33
Q4 2013 -808 Reduce 6.37% 11,877 $8.08
Q3 2013 -1,394 Reduce 9.90% 12,685 $6.54
Q2 2013 +14,079 Add 0.00% 14,079 $3.76

Ken Fisher's Nokia Oyj Investment FAQs

Ken Fisher first purchased Nokia Oyj (NOK) in Q2 2013, acquiring 14,079 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Ken Fisher has held Nokia Oyj (NOK) for 42 quarters since Q2 2013.

Ken Fisher's largest addition to Nokia Oyj (NOK) was in Q2 2025, adding 22,436 shares worth $116,220.

According to the latest 13F filing for Q4 2025, Ken Fisher's firm, Fisher Asset Management, LLC, owns 31,624 shares of Nokia Oyj (NOK), valued at approximately $204,612.

As of the Q4 2025 filing, Nokia Oyj (NOK) represents approximately 0.00% of Ken Fisher's publicly disclosed stock portfolio, making it one of their key holdings.

Ken Fisher's peak holding in Nokia Oyj (NOK) was 33,897 shares, as reported at the end of Q4 2018.