$10.23
0.49% yesterday
Nasdaq, Sep 18, 10:00 pm CET
ISIN
US92857W3088
Symbol
VOD

Vodafone Group Stock price

$10.23
+0.51 5.25% 1M
+1.62 18.82% 6M
+1.53 17.59% YTD
+0.33 3.33% 1Y
-5.62 35.46% 3Y
-9.24 47.46% 5Y
-23.00 69.21% 10Y
Nasdaq, Closing price Wed, Sep 18 2024
+0.05 0.49%
ISIN
US92857W3088
Symbol
VOD

Key metrics

Market capitalization $26.77b
Enterprise Value $77.25b
P/E (TTM) P/E ratio 22.56
EV/FCF (TTM) EV/FCF 6.45
EV/Sales (TTM) EV/Sales 1.94
P/S ratio (TTM) P/S ratio 0.67
P/B ratio (TTM) P/B ratio 0.43
Dividend yield 9.68%
Last dividend (FY24) $0.99
Revenue growth (TTM) Revenue growth -16.20%
Revenue (TTM) Revenue $39.84b
EBIT (operating result TTM) EBIT $4.84b
Free Cash Flow (TTM) Free Cash Flow $11.99b
EPS (TTM) EPS $0.45
P/E forward 12.96
P/S forward 0.65
EV/Sales forward 1.87
Short interest 0.48%
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Is Vodafone Group a Top Scorer Stock based on the Dividend, High-Growth-Investing or Leverman Strategy?

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Vodafone Group Stock Analysis

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Analyst Opinions

13 Analysts have issued a Vodafone Group forecast:

6x Buy
46%
5x Hold
38%
2x Sell
15%

Analyst Opinions

13 Analysts have issued a Vodafone Group forecast:

Buy
46%
Hold
38%
Sell
15%

Financial data from Vodafone Group

Assets
Mar '24
20,892 20,892
Cash 12,177 12,177
Claims 7,453 7,453
Inventories 613 613
Other current assets Other current assets Current assets 648 648
135,006 135,006
Property, plant and equipment 30,779 30,779
Financial assets 18,107 18,107
Intangible Assets 41,960 41,960
Other fixed assets Other assets Fixed assets 44,160 44,160
Total Assets 155,898 155,898
Liabilities
Mar '24
Equity 65,878 65,878
90,020 90,020
Current liabilities 25,146 25,146
Non-current liabilities 64,875 64,875
Total Capital 155,898 155,898

In millions USD.

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Vodafone Group Stock News

Neutral
24/7 Wall Street
about 12 hours ago
The huge surge of inflation since 2021 has not been seen since the Carter Administration's 1970's oil crisis.
Negative
Proactive Investors
about 17 hours ago
Vodafone Group PLC (LSE:VOD) has been ordered to pull several advertisements after the Advertising Standards Authority (ASA) ruled that claims made in three ads about its broadband services were misleading. The ruling came after BT Group PLC (LSE:BT.A) challenged Vodafone's assertions that it provided the “same broadband” or “same broadband technology” as BT at a lower cost.
Positive
Seeking Alpha
one day ago
Vodafone's disposal of Italy and Spain strengthens its business profile, making it an undervalued income play for long-term investors. The company's streamlined operations and sustainable dividend offer a compelling income pick in the European telecoms sector. Vodafone's improved balance sheet and strategic share buybacks enhance its financial stability and future dividend prospects.
More Vodafone Group News

Company Profile

Vodafone Group Plc engages in the provision of telecommunications services. It focuses on small and medium sized enterprises; large and multinational corporates; and carrier services. The firm also intends to invest in the growth areas of communications, cloud and hosting, internet of things, security, and fixed connectivity. It operates through the following geographical segments: Germany, Italy, United Kingdom, Spain, and Other Europe. The company was founded on July 17, 1984 and is headquartered in Newbury, the United Kingdom.

Head office United Kingdom
CEO Margherita Valle
Employees 93,000
Founded 1984
Website www.vodafone.com

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