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Vodafone Group Plc

VOD

Last
$15.56
Day
-5.6%
1y
+46.1%
5y
+4.7%
52w
-6.9%
SPY YTD
+13.3%
XLC
-4.1%
Earnings
2026-11-1030d
EMA 21
16.62
EMA 50
16.36
EMA 200
15.00
20d high
-6.9%
5y high
-13.5%
5y range
77th
Website · 91,128 employees · United Kingdom

Positions held

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Score
11
Hold
watch
Signal
Neutral
Target
$17.46
Stop
$15.99
Stop distance
2.8%
Target vs last
+12.2%

Bull / bear case

Site-generated summary from fundamentals, news, and score — not investment advice. As of 2026-10-08.

Bull case
  • Vodafone's competitive positioning in the telecom industry is strengthened by its diverse service offerings and global presence, making it a strong player in a rapidly evolving market.
  • Vodafone's forward P/E ratio is 9.88, indicating potential undervaluation compared to industry peers.
  • The company has a dividend yield of 3.25%, providing a steady income stream for investors.
Bear case
  • The telecom industry is facing significant regulatory challenges, which could impact Vodafone's operational flexibility and profitability.
  • Vodafone reported a net income of -4169 million in 2025, highlighting ongoing financial struggles.
  • The company's debt-to-equity ratio stands at 100.15, indicating a high level of leverage that could pose risks in a rising interest rate environment.

Fundamentals

Market cap$38.18BEnterprise value$119.69BTrailing P/E—Forward P/E9.86
PEG0.59Price / book1.30Beta0.30Dividend yield3.26%
Revenue growth—Earnings growth—Gross margin31.5%Operating margin7.8%
Profit margin-1.0%ROE0.1%ROA1.5%Debt / equity1.00
Current ratio1.14Free cash flow$5.17BAnalyst recommendationbuyMean target$16.09
52w high$17.7152w low$11.12
VOD · daily-0.8% over 13 sessions
Close EMA21 EMA50 EMA200
16.1116.3216.5416.7516.962026-092026-092026-092026-092026-102026-102026-10