Nordea Invest Aktier II KL 1
Nordea Invest Aktier II is an equity mutual fund launched and managed by Nordea Invest Fund Management A/s. It invests in the public equity markets across the globe. The fund invests in stocks of companies operating across diversified sectors. It was formerly known as Nordea Invest World. Nordea Invest Aktier II is domiciled in Denmark
Market Cap & Net Worth: Nordea Invest Aktier II KL 1 (NDIAKTIIKL1)
Nordea Invest Aktier II KL 1 (CO:NDIAKTIIKL1) has a market capitalization of $657.20K (Dkr4.78 Million) as of March 19, 2026. Listed on the CO stock exchange, this Denmark-based company holds position #36845 globally and #131 in its home market, demonstrating a 0.00% increase in market value over the past year.
Market capitalization, also known as net worth in stock markets, is calculated by multiplying Nordea Invest Aktier II KL 1's stock price Dkr529.80 by its total outstanding shares 9013 (9.01K).
Nordea Invest Aktier II KL 1 Market Cap History: 2023 to 2026
Nordea Invest Aktier II KL 1's market capitalization history from 2023 to 2026. Data shows growth from $613.79K to $657.20K (3.08% CAGR).
Nordea Invest Aktier II KL 1 Market Cap to Earnings & Revenue Ratios Timeline
This chart shows how Nordea Invest Aktier II KL 1's valuation ratios have evolved. The Price to Sales (P/S) ratio compares market cap to revenue, while the Price to Earnings (P/E) ratio compares market cap to net income. Lower values may indicate a more undervalued company relative to its financial performance.
Latest Price to Sales (P/S) Ratio
No P/S ratio data available
Latest Price to Earnings (P/E) Ratio
No P/E ratio data available
What These Ratios Tell Investors:
- Price to Sales (P/S) Ratio: Shows how much investors are paying for each dollar of the company's sales. Lower P/S ratios may indicate undervaluation.
- Price to Earnings (P/E) Ratio: Shows how much investors are paying for each dollar of the company's earnings. This is one of the most common valuation metrics.
- Trends in these ratios over time can indicate changing investor sentiment about the company's future growth prospects.
- Industry comparison provides context for whether the company is valued higher or lower than peers.
| Year | Market Cap (USD) | Revenue (USD) | Net Income (USD) | P/S Ratio | P/E Ratio |
|---|---|---|---|---|---|
| No financial ratio data available | |||||
Competitor Companies of NDIAKTIIKL1 by Market Capitalization
Companies near Nordea Invest Aktier II KL 1 in the global market cap rankings as of March 19, 2026.
Key companies related to Nordea Invest Aktier II KL 1 by market ranking:
- aVINCI MEDIA CORP (NASDAQ:AVMC): Ranked #36836 globally with a market cap of $700.85K USD.
- TTL Beteiligungs- und Grundbesitz-AG (F:TTO): Ranked #36837 globally with a market cap of $700.37K USD ( €682.30K EUR).
- CSG SYSTEMS INTL (MU:CSN): Ranked #36846 globally with a market cap of $696.10K USD ( €678.15K EUR).
- Mullen Automotive Inc. (NASDAQ:MULN): Ranked #36847 globally with a market cap of $695.57K USD.
| Rank | Company | Symbol | Market Cap | Price |
|---|---|---|---|---|
| #36836 | aVINCI MEDIA CORP | NASDAQ:AVMC | $700.85K | $71.03 |
| #36837 | TTL Beteiligungs- und Grundbesitz-AG | F:TTO | $700.37K | €0.11 |
| #36846 | CSG SYSTEMS INTL | MU:CSN | $696.10K | €68.75 |
| #36847 | Mullen Automotive Inc. | NASDAQ:MULN | $695.57K | $1.73 |
Nordea Invest Aktier II KL 1 Historical Marketcap From 2023 to 2026
Between 2023 and today, Nordea Invest Aktier II KL 1's market cap moved from $613.79K to $ 657.20K, with a yearly change of 3.08%.
| Year | Market Cap | Change (%) |
|---|---|---|
| 2026 | Dkr657.20K | +2.18% |
| 2025 | Dkr643.19K | -4.11% |
| 2024 | Dkr670.73K | +9.28% |
| 2023 | Dkr613.79K | -- |
End of Day Market Cap According to Different Sources
On Mar 18th, 2026 the market cap of Nordea Invest Aktier II KL 1 was reported to be:
| Source | Market Cap |
|---|---|
| Yahoo Finance | $657.20K USD |
| MoneyControl | $657.20K USD |
| MarketWatch | $657.20K USD |
| marketcap.company | $657.20K USD |
| Reuters | $657.20K USD |
Market cap values may vary slightly between sources due to differences in calculation methods, timing, and data refresh rates.