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512 hedge funds and large institutions have $2.95B invested in Nokia in 2025 Q2 according to their latest regulatory filings, with 87 funds opening new positions, 166 increasing their positions, 118 reducing their positions, and 64 closing their positions.

New
Increased
Maintained
Reduced
Closed

41% more repeat investments, than reductions

Existing positions increased: 166 | Existing positions reduced: 118

36% more first-time investments, than exits

New positions opened: 87 | Existing positions closed: 64

3% more funds holding

Funds holding: 498512 (+14)

0% more ownership

Funds ownership: 10.41%10.41% (+0%)

1% less call options, than puts

Call options by funds: $26.3M | Put options by funds: $26.5M

4% less capital invested

Capital invested by funds: $3.07B → $2.95B (-$120M)

50% less funds holding in top 10

Funds holding in top 10: 42 (-2)

Holders
512
Holders Change
+14
Holders Change %
+2.81%
% of All Funds
6.74%
Holding in Top 10
2
Holding in Top 10 Change
-2
Holding in Top 10 Change %
-50%
% of All Funds
0.03%
New
87
Increased
166
Reduced
118
Closed
64
Calls
$26.3M
Puts
$26.5M
Net Calls
-$170K
Net Calls Change
-$22.7M
Name Holding Trade Value Shares
Change
Change in
Stake
SSC
276
Syverson Strege & Co
Iowa
$90K +$89.5K +17,369 New
Carson Wealth (CWM LLC)
277
Carson Wealth (CWM LLC)
Nebraska
$89K -$6.67K -1,294 -7%
HP
278
Haven Private
Florida
$89K +$88.5K +17,176 New
SC
279
Savant Capital
Illinois
$87.3K +$86.9K +16,861 New
WI
280
WrapManager Inc
California
$87.3K +$86.9K +16,861 New
TF
281
Trek Financial
Arizona
$86.2K +$85.8K +16,642 New
BF
282
Brucke Financial
Indiana
$85.2K +$84.8K +16,448 New
Envestnet Portfolio Solutions
283
Envestnet Portfolio Solutions
Illinois
$84.2K -$18.5K -3,582 -18%
S
284
Sunpointe
Missouri
$83.2K
GM
285
GeoWealth Management
Illinois
$82.5K +$36.9K +7,166 +82%
BPW
286
Bingham Private Wealth
California
$82.1K +$81.7K +15,858 New
EWA
287
EverSource Wealth Advisors
Alabama
$81.8K +$16.9K +3,276 +26%
PPW
288
Pasadena Private Wealth
California
$80.3K
HWA
289
HCR Wealth Advisors
California
$79.8K
DWM
290
Drive Wealth Management
Utah
$79.6K +$2.37K +460 +3%
RS
291
Retirement Solution
Washington
$79.5K
MTC
292
McDaniel Terry & Co
Texas
$79.3K
GSWM
293
Golden State Wealth Management
California
$77.2K
MT
294
Midwest Trust
Kansas
$76.8K +$76.4K +14,822 New
EI
295
Ellevest Inc
New York
$76.3K +$14.2K +2,754 +23%
RBI
296
Raiffeisen Bank International
Austria
$75.2K
RPCONE
297
Retirement Planning Company of New England
Rhode Island
$74.9K -$2.69K -521 -3%
OBWG
298
Onyx Bridge Wealth Group
New York
$74.8K +$103 +20 +0.1%
MWM
299
Modern Wealth Management
Kansas
$74.2K +$73.8K +14,325 New
BC
300
Bridgefront Capital
Texas
$71.8K +$71.5K +13,868 New

NOK Hedge Fund Activity: Q2 2025 in Review

512 of the 7,595 institutional investors tracked by Wall St. Rank reported a position in Nokia (NOK) for Q2 2025, worth a combined $2.95B — down 3.9% from $3.07B a quarter earlier.

Buyers outnumbered sellers: 87 funds opened new NOK positions and 64 closed out — a net gain of 23 holders — while 166 added to existing stakes and 118 trimmed.

The largest buyer was Point72 Asset Management, adding an estimated $100M. The largest seller was Pzena Investment Management, cutting an estimated $60.8M.

  • 512 institutional investors held Nokia (NOK) as of Q2 2025, up from 498 in Q1 2025.
  • Funds reported $2.95B of Nokia stock for Q2 2025, down 3.9% quarter-over-quarter.
  • 87 funds opened new Nokia positions in Q2 2025 and 64 closed out, a net change of +23 holders.
  • The largest Nokia buyer in Q2 2025 was Point72 Asset Management, an estimated $100M added.
  • The largest Nokia seller in Q2 2025 was Pzena Investment Management, an estimated $60.8M sold.

Based on aggregated 13F filings for Q2 2025.