NTT DoCoMo Inc
Nokia Stock Has Risen 28% in H1 2018
Nokia (NOK) stock generated returns of 28% in the first half of 2018.
What Are the Key Drivers of Nokia’s Networks Segment?
Earlier this year, Nokia announced that it had partnered with NTT DoCoMo (DCM) in the 5G (fifth-generation) space.
A Look at Ericsson’s Other Segment
Ericsson’s (ERIC) Other segment consists of Emerging Business, Media Solutions, iconectiv, and Red Bee Media.
Can Nokia Overcome a Difficult Macroeconomic Environment in 2016?
In Nokia’s (NOK) 2Q16 earnings call, it said that it continues to expect its wireless infrastructure business segment to fall in 2016 along with a flattish networking market globally.
Examining JOHIX’s 2016 Portfolio Changes So Far
The JOHCM International Select Fund (JOHIX) invests mostly in the stocks of companies based outside of the United States.
Why Has the Matthews Asia Dividend Fund Done Well in 2016 So Far?
2016 year-to-date has been great for the Matthews Asia Dividend Fund – Investor Class (MAPIX).
Near Flawless Stock Picks: Smart Moves for HJPNX in 2016
The industrials sector was the star performer, which helped HJPNX post a stellar performance in the first four months of 2016.
Why Did Nokia’s Share Price Slide Yesterday?
Europe’s Nokia announced its 1Q16 results on May 10, 2016. It reported non-IFRS revenue of $5.6 billion. The non-IFRS diluted EPS for 1Q16 was 0.03 euros.
Did the Matthews Asia Dividend Fund Beat Its Peers in 1Q16?
As of February 2016, the Matthews Asia Dividend Fund Investor Class (MAPIX) was managing assets worth $4.4 billion, making it the second largest fund in this review by asset size.
Nokia Got a Boost from Joint Venture with Siemens Networks
Nokia (NOK) has given credit for its improving margins to its joint venture with Siemens. The joint venture is called Nokia Siemens Network.
Why Higher Mobile Broadband Sales Drove Nokia’s Revenue in China
In 4Q15, Mobile Broadband accounted for 54% of Nokia Networks sales—up from 52% in 4Q14. Global services represented 46% of Nokia Networks sales in 4Q15.
Nokia: Mapping Business Sale Drove 4Q15 Net Income
On February 11, 2016, Europe’s (VGK) Nokia (NOK) announced its 4Q15 results. It reported revenues of $4 billion.
A Portfolio Scan of the Voya Japan TOPIX Index Portfolio in 2015
Although Voya Japan TOPIX Index Portfolio – Class A (IJIAX) is passively managed and aims to track its underlying index as closely as possible, it is not necessary for it to always hold all the securities in the index.
Chemicals and Oil and Gas Industries Weigh on EWJ
The oil and gas industry provided a return of -1.6% on December 31. The continuous fall in crude oil prices dragged down the oil and gas industry’s performance.
The T. Rowe Price Japan Fund (PRJPX): Historical Overview
The T. Rowe Price Japan Fund seeks “long-term growth of capital through investment in … companies located, or with primary operations, in Japan.”
How the Commonwealth Japan Fund Fared in September 2015
The Commonwealth Japan Fund (CNJFX) fell by 5.8% in September 2015 from the previous month, but it remained an above-average performer among peers.
What Investors Should Know about the T. Rowe Price Japan Fund
As of the end of July 2015, the T. Rowe Price Japan Fund (PRJPX) had assets worth $330.43 million. Its expense ratio is 1.05%, and it doesn’t charge a 12b-1 fee.
Introducing the Nuveen Tradewinds Japan Fund – A
the Nuveen Tradewinds Japan Fund – A (NTJAX) had 52 holdings as of August 2015. As a percentage of total assets, its top holding is NTT DoCoMo (DCM) with an exposure of 3.3%.
What You Should Know about the Commonwealth Japan Fund (CNJFX)
The Commonwealth Japan Fund has been in existence since July 1989 and was managing assets of $5.2 million as of August 2015. Its net expense ratio is 3.5%.
Evaluating MLPs Performance – Distribution Growth and DCF
Distribution growth is the cornerstone of MLP investing because it provides a hedge against inflation. Its preserves the investment’s purchasing power.