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Compare Nokia Corp (NOK) vs T Rowe Price Group Inc (TROW) Price & Performance

Nokia CorpTrade
T Rowe Price Group IncTrade

Price performance (Past 24H)

Key statistics

Nokia Corp vs T Rowe Price Group Inc — how do they compare? Nokia Corp trades at $10.25 (market cap $53.00B), while T Rowe Price Group Inc trades at $116.99 (market cap $24.26B). The key difference: Nokia Corp is far larger — about 2.2× T Rowe Price Group Inc's market cap, and T Rowe Price Group Inc pays the higher dividend (4.57%). Which is the better fit depends on your goals.

NOKTROW
Market Cap
$53.00B$24.26B
Sector
TechnologyFinancials
52-Week High
$16.83$121.68
52-Week Low
$4.13$86.19
Enterprise Value
$50.95B$21.46B
Dividend Yield
1.73%4.57%

Returns comparison

Trailing returns across standard periods

About Nokia Corp

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.

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About T Rowe Price Group Inc

T. Rowe Price provides asset-management services for individual and institutional investors. It offers a broad range of no-load U.S. and international stock, hybrid, bond, and money market funds. At the end of August 2022, the firm had $1.339 trillion in managed assets, composed of equity (54%), balanced (30%), fixed-income (13%), and alternatives (3%) offerings. Approximately two thirds of the company's managed assets are held in retirement-based accounts, which provides T. Rowe Price with a somewhat stickier client base than most of its peers. The firm also manages private accounts, provides retirement planning advice, and offers discount brokerage and trust services. The company is primarily a U.S.-based asset manager, deriving just under 10% of its AUM from overseas.

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