Motorola,
Inc. (NYSE:MOT) added 0.97% to $8.31. The 52-week range of the
stock is $6.04-$8.74.
Motorola,
Inc. provides technologies, products and services for mobile phones. Its
portfolio includes wireless handsets, wireless accessories, digital
entertainment devices, set-top boxes and video distribution systems, analog and
digital two-way radios, wireless and wireline broadband network products, and
end-to-end enterprise mobility products.
Alcatel-Lucent
(ADR) (NYSE:ALU) gained 1.68% to $3.02. The 52-week range of
the stock is $2.25-$3.82.
Alcatel
Lucent provide products, solutions, and transformation services offerings,
which enables service providers, enterprises, governments and strategic
industries (such as transportation or energy) globally to deliver voice, data
and video communication services to the consumers.
Nokia
Corporation (ADR) (NYSE:NOK) is down 3.37% to $9.75. The
52-week range of the stock is $8-$15.89. The stock is down more than 24%
year-to-date.
Nokia Corporation (Nokia) is engaged in the manufacturing of mobile devices and in converging Internet and communications industries. It has three segments: Devices & Services, NAVTEQ, and Nokia Siemens Networks. Devices & Services is responsible for developing and managing its portfolio of mobile devices, as well as designing and developing services, including applications and content.
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