WallStSmart

Motorola Solutions Inc (MSI)vsNokia Corp ADR (NOK)

VS

Smart Verdict

WallStSmart Research — data-driven comparison

Nokia Corp ADR generates 68% more annual revenue ($20.00B vs $11.87B). MSI leads profitability with a 17.6% profit margin vs 4.0%. NOK appears more attractively valued with a PEG of 1.42. MSI earns a higher WallStSmart Score of 54/100 (C-).

MSI

Buy

54

out of 100

Grade: C-

Growth: 4.7Profit: 8.5Value: 4.3Quality: 3.5
Piotroski: 3/9Altman Z: 1.41

NOK

Avoid

35

out of 100

Grade: F

Growth: 2.7Profit: 4.5Value: 4.3Quality: 7.0
Piotroski: 4/9Altman Z: 1.65

Key Strengths & Concerns

Side-by-side fundamental analysis

Key Strengths

MSI2 strengths · Avg: 9.5/10
Return on EquityProfitability
82.2%10/10

Every $100 of equity generates 82 in profit

Market CapQuality
$68.34B9/10

Large-cap with strong market position

NOK2 strengths · Avg: 9.0/10
Market CapQuality
$82.73B9/10

Large-cap with strong market position

Debt/EquityHealth
0.169/10

Conservative balance sheet, low leverage

Areas to Watch

MSI4 concerns · Avg: 3.3/10
PEG RatioValuation
2.224/10

Expensive relative to growth rate

P/E RatioValuation
33.2x4/10

Premium valuation, high expectations priced in

Piotroski F-ScoreQuality
3/93/10

Weak financial health signals

Price/BookValuation
26.8x2/10

Trading at 26.8x book value

NOK4 concerns · Avg: 3.5/10
Revenue GrowthGrowth
2.4%4/10

2.4% revenue growth

Altman Z-ScoreHealth
1.654/10

Distress zone — elevated risk

Return on EquityProfitability
3.8%3/10

ROE of 3.8% — below average capital efficiency

Profit MarginProfitability
4.0%3/10

4.0% margin — thin

Comparative Analysis Report

WallStSmart Research

Bull Case : MSI

The strongest argument for MSI centers on Return on Equity, Market Cap. Profitability is solid with margins at 17.6% and operating margin at 19.8%.

Bull Case : NOK

The strongest argument for NOK centers on Market Cap, Debt/Equity. PEG of 1.42 suggests the stock is reasonably priced for its growth.

Bear Case : MSI

The primary concerns for MSI are PEG Ratio, P/E Ratio, Piotroski F-Score. Debt-to-equity of 3.77 is elevated, increasing financial risk.

Bear Case : NOK

The primary concerns for NOK are Revenue Growth, Altman Z-Score, Return on Equity. A P/E of 92.6x leaves little room for execution misses. Thin 4.0% margins leave little buffer for downturns.

Key Dynamics to Monitor

MSI profiles as a mature stock while NOK is a value play — different risk/reward profiles.

MSI carries more volatility with a beta of 0.89 — expect wider price swings.

MSI is growing revenue faster at 7.4% — sustainability is the question.

NOK generates stronger free cash flow (629M), providing more financial flexibility.

Bottom Line

MSI scores higher overall (54/100 vs 35/100), backed by strong 17.6% margins. Both earn "Buy" and "Avoid" ratings respectively — the choice depends on your investment horizon and risk tolerance.

This analysis is generated from publicly available financial data. Not financial advice.

Motorola Solutions Inc

TECHNOLOGY · COMMUNICATION EQUIPMENT · USA

Motorola Solutions, Inc., is an American data communications and telecommunications equipment provider that succeeded Motorola, Inc., following the spinoff of the mobile phone division into Motorola Mobility in 2011. The company is headquartered in Chicago, Illinois.

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Nokia Corp ADR

TECHNOLOGY · COMMUNICATION EQUIPMENT · USA

Nokia Corporation offers fixed and mobile network solutions globally. The company is headquartered in Espoo, Finland.

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