VOD

Vodafone Group PLC ADR

VOD, USA

Vodafone Group Public Limited Company provides telecommunication services in Germany, the United Kingdom, rest of Europe, Turkey, and South Africa. It offers mobile and fixed services; connectivity business solutions, such as digital services, the Internet of Things (IoT) and financial services; and IoT platforms. The company also provides cloud, multi-cloud, and edge computing solutions; M-PESA, an African mobile money platform to make payments and offer financial services; and international voice and roaming services. In addition, it offers unified communications, mobile connectivity, IoT connectivity, cloud and edge, E2E solutions, and security services; leases fibre and other fixed connectivity services; and engages in infrastructure assets, shared operations, growth platforms, retail, and service operations. The company serves private and public sector customers in health, banking and finance, transport and logistics, retail, utilities, and agriculture industries. Vodafone Group Public Limited Company was incorporated in 1984 and is based in Newbury, the United Kingdom.

https://www.vodafone.com

Stock Price

$ 0.00

0% increase compared to yesterday.

Dividend

Frequency:

Semiannual

Rate:

0.257

Next Payout:

Feb 5, 2026

Yield:

8.1652 %
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VOD

Discipline and Rules-Based Execution in VOD Response news.stocktradersdaily.com

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Showing 2 of 10

Analyst Ratings & Sentiment

(Last Updated 2025-09-30)

Rating:

HOLD

Target Price:

$10.6105

Analyst Picks

Strong Buy

0

Buy

0

Hold

3

Sell

0

Strong Sell

0

Sentiment:

Bullish

Finn Analysis

(Last Updated 2025-09-30)

Health Score

Price to Book Ratio (P/B)

-

Very Low

0.59

Low ≤ 1

High ≥ 3

Return on Equity (ROE)

-

Very Low

1.57 %

Low ≤ 5%

High ≥ 25%

Return on Assets (ROA)

-

Very Low

0.64 %

Low ≤ 2%

High ≥ 10%

Free Cash Flow - Revenue % (FCF)

-

Very High

13.46 %

Low ≤ 5%

High ≥ 15%

Debt to Equity

-

Very Low

1.37

Low ≥ 1

High ≤ 0.3

Investors

* Institutions hold a combined 8.56% of the total shares of Vodafone Group PLC ADR

1.

Arrowstreet Capital Limited Partnership

(1.0851%)

since

2025/06/30

2.

ACR Equity Quality Return Total Accounts

(1.0171%)

since

2025/06/30

3.

Alpine Investment Management LLC

(1.014%)

since

2025/06/30

4.

Goldman Sachs Group Inc

(0.5458%)

since

2025/06/30

5.

Renaissance Technologies Corp

(0.5111%)

since

2025/06/30

6.

Morgan Stanley - Brokerage Accounts

(0.4854%)

since

2025/06/30

7.

Grantham, Mayo, Van Otterloo & Co., LLC

(0.4662%)

since

2025/06/30

8.

VOLORIDGE INVESTMENT MANAGEMENT, LLC

(0.3335%)

since

2025/06/30

9.

JPMorgan Chase & Co

(0.3166%)

since

2025/06/30

10.

Bank of America Corp

(0.2635%)

since

2025/06/30

11.

Oppenheimer Investment Advisers

(0.2343%)

since

2025/06/30

12.

Envestnet Asset Management Inc

(0.2133%)

since

2025/06/30

13.

GS Europe CORE Equity Base Inc EUR

(0.1968%)

since

2025/07/31

14.

Millennium Management LLC

(0.1731%)

since

2025/06/30

15.

Optiver Holding B.V.

(0.1652%)

since

2025/06/30

16.

Salt Holdings Corp

(0.142%)

since

2025/06/30

17.

BNP Paribas Arbitrage, SA

(0.124%)

since

2025/06/30

18.

Bank of Montreal

(0.1239%)

since

2025/06/30

19.

BMO Capital Markets Corp.

(0.1239%)

since

2025/06/30

20.

Royal Bank of Canada

(0.1236%)

since

2025/06/30

21.

ABC arbitrage SA

(0.1165%)

since

2025/06/30

22.

GMO International Equity III

(0.1022%)

since

2025/05/31

23.

American Century Companies Inc

(0.0812%)

since

2025/06/30

24.

Arrowstreet IntlEqWldxUS Alpha Ext CIT D

(0.0661%)

since

2024/12/31

25.

Avantis International Equity ETF

(0.0658%)

since

2025/08/30

26.

Multi-Manager Intl Eq Strats Instl

(0.0628%)

since

2025/07/31

27.

Strategic Advisers International

(0.0619%)

since

2025/07/31

28.

Mercer Non-US Core Equity Y3

(0.0502%)

since

2025/07/31

29.

GMO Equity Dislocation Composite

(0.0402%)

since

2025/06/30

30.

GMO Implementation

(0.0319%)

since

2025/02/28

31.

DNP Select Income

(0.0283%)

since

2025/06/30

32.

NYLI MacKay High Yield Corporate Bd Cl A

(0.0278%)

since

2025/06/30

33.

ACR Equity International Fund I Shares

(0.0278%)

since

2025/05/31

34.

GMO Intnl Dvlpd Eqt Allctn Composite

(0.0231%)

since

2024/12/31

35.

Amplify CWP International Enh Div IncETF

(0.0203%)

since

2025/08/29

36.

Gateway A

(0.0199%)

since

2025/07/31

37.

Gateway Inv Index/ RA (Risk Adjusted)

(0.0199%)

since

2025/06/30

38.

Dimensional International Value ETF

(0.019%)

since

2025/08/29

39.

ACR Opportunity Fund I Shares

(0.0178%)

since

2025/05/31

40.

GMO Benchmark-Free III

(0.0148%)

since

2025/02/28

* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.

Earnings History

EPS ActualEPS EstimateEPS DifferenceSurprise Percent

Upcoming Earnings Release

Date

2025-12-31

EPS Estimate

0

Latest Release

Date

2025-09-30

EPS Actual

0.69

EPS Estimate

—

EPS Difference

0

Surprise Percent

null%

Investing Fit Scorecard

(Last Updated 2025-09-30)

Deep Value
Strong Deep Value(8)
Defensive
Highly Defensive(7)
Dividend
Decent Dividend Payer(4.5)
Economic Moat
Some Competitive Advantage(5.8)
GARP
Not Attractive for GARP(3)
Growth
Weak Growth Prospect(3)
Momentum
Moderate Momentum(3.5)
Net Net
Possible Net-Net(4)
Quality
Moderate Quality(4)
Value
Undervalued(7)

Income Statement

(Last Updated 2025-09-30)

Revenue

$ 0

Cost Of Revenue

$ 0

Gross Profit

$ 0

Operating Expenses

$ 0

Operating Income

$ 0

Interest Expense

$ 0

Pretax Income

$ 0

Net Income

$ 0

Income Tax Expense

$ 0

EBITDA

$ 0

Total Other Income Expense Net

$ 0

Earnings Per Share

0

Dividends Per Share

0

Shares Outstanding

0

Operating Margin

0%

Trend

Balance Sheet

(Last Updated 2025-09-30)

Cash

$ 0

Short Term Investments

$ 0

Receivables

$ 0

Inventories

$ 0

Total Current Assets

$ 0

Property Plant Equipment

$ 0

Total Assets

$ 0

Payables

$ 0

Short Term Debt

$ 0

Long Term Debt

$ 0

Total Liabilities

$ 0

Equity

$ 0

Trend

Cash Flow

(Last Updated 2025-09-30)

Net Income

$ 0

Depreciation

$ 0

Change In Working Capital

$ 0

Cash From Operations

$ 0

Capital Expenditures

$ 0

Cash From Investing

$ 0

Cash From Financing

$ 0

Net Change In Cash

$ 0

Trend

Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.