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Vodafone Group Plc (VOD) Company Overview

Company Analysis

Vodafone Group Plc VOD

A comprehensive view of key metrics, scores, and financial health for Vodafone Group Plc

Overview of Vodafone Group Public Limited Company

VOD NMS
Communication Services Telecom Services Large Cap
Vodafone Group Public Limited Company (VOD), is a Large Cap company, in the Telecom Services industry, last closed at $14.41, about 49.5% undervalued vs fair value, +46.1% 1Y return, ranked 109/261 in sector.
$14.41
0.70%
As of March 13, 2026
Previous close • Vol 90d: 30.6%
52-Week Range
Market Cap
$35.56B
Enterprise Value
$73.49B
Overall Score
Scores locked

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Top Beats

Quick Facts

HQ Newbury
Employees 88,780
Fiscal year Mar 31

Next Events

Earnings May 12

Fair Value Snapshot

Bear Base Bull
$18
$22
$25
Current: $14.41 +50% vs base

Engine Room Money Flow™

Large Cap

Corporate Free Cash Flow - Where revenue goes and how value is created

Flow Steps
Revenue
$37.4B
2%%
Gross Profit
$12.5B
2.1%%
Operating Income
$4.1B
8.4%%
Net Income
$-4.2B
-465.7%%
Money Flow Bridge
Flow Direction: Money moves from left to right
Components: Breakdown shows composition of each stage
Industry-Specific: Corporate Free Cash Flow

Quality & Reliability Indicators

Cash Conversion Ratio
-208.1%
Poor

FCF / Net Income - measures how well earnings convert to cash

Locked Metric
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Owner's Pocket - Capital Allocation

Total Returned to Shareholders

Combined dividends, buybacks, and debt reduction

$11.9B
136.7% of FCF

Where It Leaks

Cash Flow Health critical
Significant cash flow inefficiencies identified. Multiple high-impact leaks require attention.
3
Active Leaks
0/3
Improving
0
High Impact
1
Critical
Locked Leak
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Locked Leak
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Moat Analysis Corporate Default

Competitive Advantage Assessment

Evaluating Vodafone Group Plc's durable competitive advantages across 6 defense dimensions

Overall Moat Strength
51
/100
Moderate
Scores based on quantitative metrics and qualitative factors

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Pricing Power

Developing
47
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Trade-Off Ledger™

Where management spends the performance budget - Growth, Profitability, or Safety

Generic Industrial / Default vs Industry Peers 92% Coverage
Trade-Off Triangle Visualization A ternary plot showing VOD's balance between Growth (27.2%), Profitability (34.0%), and Safety (38.8%). Growth 27% Safety 39% Profitability 34%

Click axes to expand details. Marker shows current allocation.

3-Year Trend Analysis Locked
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Growth

35th percentile vs peers
35
Key Signals
Rev Growth YoY 2.0% 50p Revenue CAGR 3Y 0.4% 26p TSR 49.6% 59p EPS Growth YoY -4.80 11p
  • Fcf Margin in top 20% of peers (23.2%, 81th percentile)
  • Strong liquidity position vs peers
  • Conservative leverage compared to industry peers
  • Eps Growth Yoy in bottom 20% of peers (-4.80)
  • Growth below peer median (percentile: 35)

Profitability

43th percentile vs peers
44
Key Signals
Strengths
Risks
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Safety

50th percentile vs peers
50
Key Signals
Strengths
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Two Futures

Scenario-based fair value ranges for Vodafone Group Plc.

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Unable to Compute Fair Value

This company cannot be valued using standard models.

What this means: The Scenario Theatre requires financial data (revenue, cash flow, shares outstanding) to calculate fair value estimates. This data may be unavailable for:

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  • Shell companies or holding companies
  • Companies that haven't filed recent financials
  • Foreign companies with limited data coverage
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Bear
-
- - -
- upside
-
Base
$21.54
- - -
+49.5% vs current
Snapshot base estimate
Bull
-
- - -
- upside
-
Fair Value Range Current: $-
$- $- $-
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