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Nokia Oyj (NOK) — Hedge Fund Ownership Q4 2025

NOK
Q4 2025Q3 2025Q2 2025Q1 2025
  • Nokia Oyj (NOK) is held by 2 of 82 tracked hedge funds, with Oaktree Capital Management (2%) and Pzena Investment Management (2%) holding the largest stakes, indicating limited hedge fund interest relative to peers.
  • The biggest increases in NOK holdings came from Pzena Investment Management (+14%), highlighting conviction.
  • Overall, hedge funds increased exposure to Nokia Oyj (NOK) by +12% vs the prior quarter and +10% vs prior year.
# Fund % of Portfolio † Shares † Shares vs Prior Quarter † Shares vs Prior Year † Aggregate Value † Reported Price * Option
1
Oaktree Capital Management
Howard Marks
1.97% 18.8M $121.3M $6.47
2
Pzena Investment Management
Richard Pzena
1.78% 91.9M +14.46% +9.66% $594.9M $6.47
2 Total 110.7M +11.72% +9.66% $716.2M
* Reported price is not an actual purchase or sale price. It is the price as of the last portfolio date.
† Portfolio value, share counts, and period-over-period changes exclude options positions (PUT/CALL), which are shown in the Option column for reference only.