Nokia Corp vs Teucrium Soybean Fund — how do they compare? Nokia Corp trades at $10.39 (market cap $56.99B), while Teucrium Soybean Fund trades at $27.58 (market cap $43.52M). The key difference: Nokia Corp is far larger — about 1309.5× Teucrium Soybean Fund's market cap, and Nokia Corp pays a 1.61% dividend while Teucrium Soybean Fund pays none. Which is the better fit depends on your goals — on Pluang, investors hold Nokia Corp for 66 Days and Teucrium Soybean Fund for 23 Days on average.
| NOK | SOYB | |
|---|---|---|
Market Cap | $56.99B | $43.52M |
Volume | 69,968,204 | 32,585 |
Sector | Technology | Commodities - Metals/Agriculture |
52-Week High | $16.83 | $28.14 |
52-Week Low | $5.18 | $21.55 |
Typical Hold Time | 66 Days | 23 Days |
Enterprise Value | $55.01B | — |
Dividend Yield | 1.61% | — |
Signals from Pluang's Aura AI — not financial advice
Nokia (NOK) trades at $10.62, down 3.19% on the day, with a bullish technical signal from moving averages. The company reported mixed quarterly earnings, beating in Q4 2025 and Q2 2026 but missing in Q1 2026. Revenue for 2025 was $19.89 billion with a net income margin of 3.47%. Recent news highlights a strategic partnership with Microsoft for AI-driven network automation and sovereign satellite network development with ICEYE, positioning Nokia for growth in AI and telecommunications infrastructure.
The outlook for Nokia is positive, supported by strong analyst consensus with a $17.50 price target and 61.5% buy ratings. Key opportunities include expanding AI and cloud orders, which grew 105% in Q2 2026. Risks involve competitive pressures in telecom equipment, reliance on global infrastructure spending, and volatility in net cash flow, which turned negative in 2025. Execution on partnerships and margin expansion are critical for sustained upside.
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Nokia is a leading vendor in the telecommunications equipment industry. The company's network business derives revenue from selling wireless and fixed-line hardware, software, and services. Nokia's technology segment licenses its patent portfolio to handset manufacturers and makes royalties from Nokia-branded cellphones. The company, headquartered in Espoo, Finland, operates on a global scale, with most of its revenue from communication service providers.
Read more on NOK →SOYB is a commodity ETF that provides exposure to the price of soybean futures. It utilizes a laddered strategy by investing in several benchmark futures contracts to reduce the impact of roll costs and contango in the agricultural market.
Read more on SOYB →