Koninklijke KPN NV (KPNa)

Euronext AmsterdamCommunication Services

€4.58
+€0 (+0.0%)

May 15, 2026 at 11:41 UTC

Interactive Chart

KPNa

11:41:07 UTC

About Koninklijke KPN NV

Name
Koninklijke KPN NV
CEO
Joost F. E. Farwerck
Industry
Communication Services
Year Founded
1852
Employees
9,718

Koninklijke KPN NV is a communications company that operates fixed and mobile networks, wholesale access, and enterprise connectivity in its home market. The operating model ties long-lived infrastructure to everyday service, so network workplans, customer care, and billing follow one schedule. Product change arrives in measured steps that protect device compatibility and service windows for households and offices. Enterprise solutions reuse the same backbone with added policy and reporting, while wholesale agreements extend reach under predictable interconnection rules. Governance emphasizes safety, privacy, and incident response as standing disciplines rather than campaigns. Within the communication services sector and its ecosystem of vendors and market operators, the company presents a process-driven profile that is readable to supervisors and partners. Koninklijke KPN NV stock (KPNa) is discussed in equity context alongside market capitalization, coverage, and operating efficiency.

Analyst Ratings

Consensus Recommendation
Analyst consensus: 3 Buy, 16 Hold, 4 Sell
Buy3
Hold16
Sell4

Fundamentals & Financials

Revenue (TTM)
€5.8B
Net Income (TTM)
€856M
EPS (TTM)
€0.22
ROA (TTM)
6.55%
Current Ratio
0.64
Dividend Yield
1.69%

TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.

Income Statement

ItemQ4 2025
Revenue€2,956M
Cost of Sales€1,383M
Gross Profit€1,573M
Operating Income€1,440M
Net Income€477,000K
EPS€0.12

Technical Indicators

Koninklijke KPN NV's Technical Indicators Summary

KPN presents a neutral technical picture driven by mixed moving averages, limited momentum and a relatively strong ADX reading that does not translate into a clear directional bias. Short-term EMAs sit slightly above the price while the 200-day EMA is below, producing offsetting signals, and RSI and MACD are near flat. Volatility is low and on-balance volume is neutral, so there is little conviction behind either side. Technical takeaway: Neutral — indicators are conflicted with no clear, sustained bias.

Buy
3 signals
Neutral
16 signals
Sell
4 signals
Overall: Neutral70% Neutral signals
IndicatorValue
RSI (14)
46.51
Stochastic %K (14, 3, 3)
CCI (20)
WPR (14)
Momentum (10)
0.02
MFI
54.54
MACD Level (12, 26)
-0.04
Bollinger Bands
ATR (14)
$0.08 (1.72%)
ADX (14)
32.66
OBV
26,725,472
Classic Pivot Point
$4.58
Fibonacci Pivot Point
$4.58
Simple Moving Averages
(5 indicators)
Exponential Moving Averages
$4.34 - $4.62(5 indicators)
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Today's Snapshot

A modest gain keeps KPNa 0.31% above its prior close of 4.58. Sector-level price action is largely a non-event (0.30%), shifting attention to idiosyncratic factors. Turnover is extremely muted at just 0.12× typical volume.

Price Change

from €4.59 close

+€0

Trading Volume

Below avg (11.3M)

1.3M

vs S&P 500 Today

Underperforming Market

-0.76%

52-Week Position

Upper range

73.3%

Updated: May 15, 2026 at 11:32 UTC

Quote Summary

OpenPrevious Close
€4.6€4.59
Day Range52 Week Range
€4.58 - €4.6€3.75 - €4.91
VolumeAvg. Volume
9M12.2M
Market CapP/E Ratio
€17.5B21.8