2025 Q4 -tulosraportti
34 päivää sitten
‧58 min
Tarjoustasot
Määrä
Osto
-
Myynti
Määrä
-
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
Välittäjätilasto
Dataa ei löytynyt
Yhtiötapahtumat
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q1 -tulosraportti 23.4. |
| Menneet tapahtumat | ||
|---|---|---|
2025 Q4 -tulosraportti 5.2. | ||
2025 Q3 -tulosraportti 30.10.2025 | ||
2025 Q2 -tulosraportti 31.7.2025 | ||
Vuosittainen yhtiökokous 2025 21.5.2025 | ||
2025 Q1 -tulosraportti 1.5.2025 |
Asiakkaat katsoivat myös
Shareville
Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
- ·7 t sittenzoox in collaboration with uber·6 t sittenIt doesn't matter that it's Amazon, , something more is needed before it turns its nose upwards 😁
- ·5.3.Hey, I've looked a bit at this stock but I don't know if it's worth investing in it, does anyone have any insight?·6.3. · MuokattuConsider: - do you believe in continued CAGR 10-15%? (I do.) - would it have been smarter to make an entry when it was recently down at 195-201, when it was more fair valued to slightly undervalued? - Do you think it's quality, are you buying to swing trade it or hold it for 10 years due to a relatively good MOAT? - Can you tolerate it possibly going sideways, or dipping again along the way? And do you think it will hit 200-205 again, so you can get a better R/R (risk/reward) that is asymmetric to your advantage? - Why do you want to own it, AWS, AI, Amazon prime, or Amazon as the world's leading storefront? It is quite crucial for how resilient it is in future years, and the technology that comes with it. Is Amazon on that wave? And is it (AI, established cloud/server infrastructure and established market share within enterprise hosting a bubble, or a raging tsunami? 😁. You can ask chatgpt, and possibly ask how it assesses r/r and forward CAGR compared to, for example, payment structures such as VISA and Mastercard. Who is most resilient regarding AI disruption? Or if we get a recession? How does the stock fit into your overall portfolio, for example, in relation to overall weighting within tech, finance, infrastructure, cyclical or defensive consumer goods? 😊 As well as your overall goals, risk tolerance etc...? Are you particularly knowledgeable about, for example, Healthcare, finance, or something completely different? That's how you can build a solid portfolio that may not chase maximum CAGR, but values things like: - commitment - balance in uncertain times - portfolio diversification = resilience regarding interest rate adjustments... Competition between large companies (just look at the Novo and Lilly drama. Some were apparently a bit too blinded by Novo and bought it on euphoria. They are crying right now...). But now you can't compare Novo and Amazon, they are two very different cases. Both are strong. But Novo is probably not as great if you bought at 600-1000 dkk - there's a really long way to break even then. Precisely for that reason, I personally believe one of the most important factors for a good purchase is insight into the business model, competition, risk of multiple compression (And conversely, more desirable - the opposite... 👀). I don't think you'll get tired of making a small entry of 10-30% of your desired position at the current price. But you'll definitely be happier if you save some cash for potential dips. The market will most likely give you the opportunity again, in most cases. But if you ask me personally, AMZN fits well into my risk tolerance, and I think I have a good balance in my portfolio. So if Amazon turns out to be a dud, other positions will probably save me in the long run. Even if they might give 8-12% CAGR, but can be considered safer over 10 years. If Amazon performs as hoped, then it's just great. But due to a low entry, I'm already 8% ahead of you on my average cost basis in just about a month, if you buy today. And no, I didn't buy the entire holding at the bottom. It's hard to time, even if you can be lucky. But precisely for that reason, it's often smart not to buy a full position at what you immediately think is the bottom... So it's often better to have a slightly smaller exposure than desired, so you can increase without being overexposed in one stock. The fact that I'm in profit doesn't mean I'm taking profit on a stock I'm long on. But it makes the investment relatively safer for me than for you. That's not to say it will continue to rise 8% every month from here. 🤣 Hope this could give you some inspiration, because as others write, it's only you who can decide if it's attractive - and when you might make an entry, when you increase on corrections or decided dips. 👌✅ Good luck, I'm sure you'll make a sensible choice. And remember, cash is also a position. A good one, on days when the market is truly red. 👌 Because it does happen from time to time. And then it's just a matter of striking, as long as you try not to catch too many falling knives. 😏
- 4.3.4.3.Amazon increases Spain investment to €33.7 billion, expanding data center infrastructure & supporting 29,900 jobs https://www.aboutamazon.eu/news/job-creation-and-investment/amazon-increases-investment-in-spain-to-33-7-billion-to-expand-data-centre-infrastructure-and-drive-ai-innovation-across-europe
- ·4.3.Any news??
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.
Uutiset
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.
2025 Q4 -tulosraportti
34 päivää sitten
‧58 min
Uutiset
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.
Shareville
Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
- ·7 t sittenzoox in collaboration with uber·6 t sittenIt doesn't matter that it's Amazon, , something more is needed before it turns its nose upwards 😁
- ·5.3.Hey, I've looked a bit at this stock but I don't know if it's worth investing in it, does anyone have any insight?·6.3. · MuokattuConsider: - do you believe in continued CAGR 10-15%? (I do.) - would it have been smarter to make an entry when it was recently down at 195-201, when it was more fair valued to slightly undervalued? - Do you think it's quality, are you buying to swing trade it or hold it for 10 years due to a relatively good MOAT? - Can you tolerate it possibly going sideways, or dipping again along the way? And do you think it will hit 200-205 again, so you can get a better R/R (risk/reward) that is asymmetric to your advantage? - Why do you want to own it, AWS, AI, Amazon prime, or Amazon as the world's leading storefront? It is quite crucial for how resilient it is in future years, and the technology that comes with it. Is Amazon on that wave? And is it (AI, established cloud/server infrastructure and established market share within enterprise hosting a bubble, or a raging tsunami? 😁. You can ask chatgpt, and possibly ask how it assesses r/r and forward CAGR compared to, for example, payment structures such as VISA and Mastercard. Who is most resilient regarding AI disruption? Or if we get a recession? How does the stock fit into your overall portfolio, for example, in relation to overall weighting within tech, finance, infrastructure, cyclical or defensive consumer goods? 😊 As well as your overall goals, risk tolerance etc...? Are you particularly knowledgeable about, for example, Healthcare, finance, or something completely different? That's how you can build a solid portfolio that may not chase maximum CAGR, but values things like: - commitment - balance in uncertain times - portfolio diversification = resilience regarding interest rate adjustments... Competition between large companies (just look at the Novo and Lilly drama. Some were apparently a bit too blinded by Novo and bought it on euphoria. They are crying right now...). But now you can't compare Novo and Amazon, they are two very different cases. Both are strong. But Novo is probably not as great if you bought at 600-1000 dkk - there's a really long way to break even then. Precisely for that reason, I personally believe one of the most important factors for a good purchase is insight into the business model, competition, risk of multiple compression (And conversely, more desirable - the opposite... 👀). I don't think you'll get tired of making a small entry of 10-30% of your desired position at the current price. But you'll definitely be happier if you save some cash for potential dips. The market will most likely give you the opportunity again, in most cases. But if you ask me personally, AMZN fits well into my risk tolerance, and I think I have a good balance in my portfolio. So if Amazon turns out to be a dud, other positions will probably save me in the long run. Even if they might give 8-12% CAGR, but can be considered safer over 10 years. If Amazon performs as hoped, then it's just great. But due to a low entry, I'm already 8% ahead of you on my average cost basis in just about a month, if you buy today. And no, I didn't buy the entire holding at the bottom. It's hard to time, even if you can be lucky. But precisely for that reason, it's often smart not to buy a full position at what you immediately think is the bottom... So it's often better to have a slightly smaller exposure than desired, so you can increase without being overexposed in one stock. The fact that I'm in profit doesn't mean I'm taking profit on a stock I'm long on. But it makes the investment relatively safer for me than for you. That's not to say it will continue to rise 8% every month from here. 🤣 Hope this could give you some inspiration, because as others write, it's only you who can decide if it's attractive - and when you might make an entry, when you increase on corrections or decided dips. 👌✅ Good luck, I'm sure you'll make a sensible choice. And remember, cash is also a position. A good one, on days when the market is truly red. 👌 Because it does happen from time to time. And then it's just a matter of striking, as long as you try not to catch too many falling knives. 😏
- 4.3.4.3.Amazon increases Spain investment to €33.7 billion, expanding data center infrastructure & supporting 29,900 jobs https://www.aboutamazon.eu/news/job-creation-and-investment/amazon-increases-investment-in-spain-to-33-7-billion-to-expand-data-centre-infrastructure-and-drive-ai-innovation-across-europe
- ·4.3.Any news??
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.
Tarjoustasot
Määrä
Osto
-
Myynti
Määrä
-
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
Välittäjätilasto
Dataa ei löytynyt
Asiakkaat katsoivat myös
Yhtiötapahtumat
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q1 -tulosraportti 23.4. |
| Menneet tapahtumat | ||
|---|---|---|
2025 Q4 -tulosraportti 5.2. | ||
2025 Q3 -tulosraportti 30.10.2025 | ||
2025 Q2 -tulosraportti 31.7.2025 | ||
Vuosittainen yhtiökokous 2025 21.5.2025 | ||
2025 Q1 -tulosraportti 1.5.2025 |
2025 Q4 -tulosraportti
34 päivää sitten
‧58 min
Uutiset
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.
Yhtiötapahtumat
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q1 -tulosraportti 23.4. |
| Menneet tapahtumat | ||
|---|---|---|
2025 Q4 -tulosraportti 5.2. | ||
2025 Q3 -tulosraportti 30.10.2025 | ||
2025 Q2 -tulosraportti 31.7.2025 | ||
Vuosittainen yhtiökokous 2025 21.5.2025 | ||
2025 Q1 -tulosraportti 1.5.2025 |
Shareville
Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
- ·7 t sittenzoox in collaboration with uber·6 t sittenIt doesn't matter that it's Amazon, , something more is needed before it turns its nose upwards 😁
- ·5.3.Hey, I've looked a bit at this stock but I don't know if it's worth investing in it, does anyone have any insight?·6.3. · MuokattuConsider: - do you believe in continued CAGR 10-15%? (I do.) - would it have been smarter to make an entry when it was recently down at 195-201, when it was more fair valued to slightly undervalued? - Do you think it's quality, are you buying to swing trade it or hold it for 10 years due to a relatively good MOAT? - Can you tolerate it possibly going sideways, or dipping again along the way? And do you think it will hit 200-205 again, so you can get a better R/R (risk/reward) that is asymmetric to your advantage? - Why do you want to own it, AWS, AI, Amazon prime, or Amazon as the world's leading storefront? It is quite crucial for how resilient it is in future years, and the technology that comes with it. Is Amazon on that wave? And is it (AI, established cloud/server infrastructure and established market share within enterprise hosting a bubble, or a raging tsunami? 😁. You can ask chatgpt, and possibly ask how it assesses r/r and forward CAGR compared to, for example, payment structures such as VISA and Mastercard. Who is most resilient regarding AI disruption? Or if we get a recession? How does the stock fit into your overall portfolio, for example, in relation to overall weighting within tech, finance, infrastructure, cyclical or defensive consumer goods? 😊 As well as your overall goals, risk tolerance etc...? Are you particularly knowledgeable about, for example, Healthcare, finance, or something completely different? That's how you can build a solid portfolio that may not chase maximum CAGR, but values things like: - commitment - balance in uncertain times - portfolio diversification = resilience regarding interest rate adjustments... Competition between large companies (just look at the Novo and Lilly drama. Some were apparently a bit too blinded by Novo and bought it on euphoria. They are crying right now...). But now you can't compare Novo and Amazon, they are two very different cases. Both are strong. But Novo is probably not as great if you bought at 600-1000 dkk - there's a really long way to break even then. Precisely for that reason, I personally believe one of the most important factors for a good purchase is insight into the business model, competition, risk of multiple compression (And conversely, more desirable - the opposite... 👀). I don't think you'll get tired of making a small entry of 10-30% of your desired position at the current price. But you'll definitely be happier if you save some cash for potential dips. The market will most likely give you the opportunity again, in most cases. But if you ask me personally, AMZN fits well into my risk tolerance, and I think I have a good balance in my portfolio. So if Amazon turns out to be a dud, other positions will probably save me in the long run. Even if they might give 8-12% CAGR, but can be considered safer over 10 years. If Amazon performs as hoped, then it's just great. But due to a low entry, I'm already 8% ahead of you on my average cost basis in just about a month, if you buy today. And no, I didn't buy the entire holding at the bottom. It's hard to time, even if you can be lucky. But precisely for that reason, it's often smart not to buy a full position at what you immediately think is the bottom... So it's often better to have a slightly smaller exposure than desired, so you can increase without being overexposed in one stock. The fact that I'm in profit doesn't mean I'm taking profit on a stock I'm long on. But it makes the investment relatively safer for me than for you. That's not to say it will continue to rise 8% every month from here. 🤣 Hope this could give you some inspiration, because as others write, it's only you who can decide if it's attractive - and when you might make an entry, when you increase on corrections or decided dips. 👌✅ Good luck, I'm sure you'll make a sensible choice. And remember, cash is also a position. A good one, on days when the market is truly red. 👌 Because it does happen from time to time. And then it's just a matter of striking, as long as you try not to catch too many falling knives. 😏
- 4.3.4.3.Amazon increases Spain investment to €33.7 billion, expanding data center infrastructure & supporting 29,900 jobs https://www.aboutamazon.eu/news/job-creation-and-investment/amazon-increases-investment-in-spain-to-33-7-billion-to-expand-data-centre-infrastructure-and-drive-ai-innovation-across-europe
- ·4.3.Any news??
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.
Tarjoustasot
Määrä
Osto
-
Myynti
Määrä
-
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
Välittäjätilasto
Dataa ei löytynyt






