Here is Why Nokia Oyj (NOK) is Highly Favored by Hedge Funds

Nokia Oyj (NYSE:NOK) is one of the 11 best communication equipment stocks according to hedge funds.

As of February 9 closing, consensus sentiment for Nokia Oyj (NYSE:NOK) remained moderately bullish. The stock had been covered by 7 analysts, receiving 5 Buy ratings and 1 Hold rating. With 1 Sell call, the stock has a projected median 1-year price target of $7.18.

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On February 10, Nokia Oyj (NYSE:NOK) announced the transfer of 2,622,652 shares to participants in its equity-based incentive plans. This transfer relates to the board’s resolution to settle commitments related to the incentive plan, as previously announced on October 2, 2025. Following this, the company now holds 139,291,855 of its shares.

On February 2, Sandeep Deshpande of J.P. Morgan reiterated his Overweight rating on Nokia Oyj (NYSE:NOK). In the process, the analyst also raised the price target on the stock from $8 to $8.20, which leads to an upside potential of 16% at the current level.

Nokia Oyj (NYSE:NOK) is a Finland-based B2B technology innovation company that delivers mobile, fixed, and cloud network solutions. It operates through two primary segments, i.e., Network Infrastructure and Mobile Networks, focusing on network infrastructure, AI-powered connectivity, and technology licensing services. The company delivers a mix of optical, IP, fixed networks, radio, and core networking solutions.

While we acknowledge the risk and potential of NOK as an investment, our conviction lies in the belief that some AI stocks hold greater promise for delivering higher returns and doing so within a shorter time frame. If you are looking for an AI stock that is more promising than NOK and that has 10,000% upside potential, check out our report about this cheapest AI stock.

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Disclosure: None. This article is originally published at Insider Monkey.