VOD
Vodafone Group plc
Vodafone is a leading technology communications company keeping society connected and building a digital future for everyone. Vodafone is focused on two scaled and differentiated regional platforms in Europe and Africa. We operate mobile and fixed networks in 22 countries and partner with mobile networks in 48 more. As at 31 March 2020 we had over 300m mobile customers, more than 27m fixed broadband customers and over 22m TV customers. We connect for a better future. We are optimistic about how technology and connectivity can enhance the future and improve people’s lives. Through our business, we aim to build a digital society that enhances socio-economic progress, embraces everyone and does not come at the cost of our planet. That is why we have committed to improve one billion lives and halve our environmental impact by 2025.
Free cash flow has been growing at 4.8% annually.
Current Price
$16.15
+2.22%GoodMoat Value
$4.71
70.9% overvaluedVodafone Group plc (VOD) Stock Analysis
VOD Financial Charts
FCF vs CAPEX
Forward estimates use 4.8% FCF growth (CAGR)
Cash vs Debt
Net Debt: 45.8B
Revenue
49.6B
FY19
50.0B
FY20
51.5B
FY21
40.7B
FY22
40.9B
FY23
39.9B
FY24
40.7B
FY25
Net Income
—
FY19
—
FY20
69M
FY21
2.5B
FY22
13.4B
FY23
1.6B
FY24
—
FY25
VOD 52-Week Range
Free cash flow has been growing at 4.8% annually.
Vodafone Group plc (VOD) Financial Summary
Vodafone Group plc (VOD) is a Communication Services company in the Telecom Services industry, listed on NASDAQ. The stock currently trades at $16.15 with a market capitalization of $42.62B.
, price-to-book ratio of 0.74, and EPS of $-1.73..
VOD Key Financial Metrics
| Metric | Value |
|---|---|
| Market Cap | $42.62B |
| EPS | $-1.73 |
| P/B Ratio | 0.74 |
| Dividend Yield | 4.56% |
| Debt/Equity | 1.01 |
VOD Revenue & Earnings History
| Year | Revenue | Net Income |
|---|---|---|
| FY19 | $49.62B | $-8.69B |
| FY20 | $49.97B | $-505.56M |
| FY21 | $51.54B | $69.41M |
| FY22 | $40.67B | $2.46B |
| FY23 | $40.95B | $13.41B |
| FY24 | $39.91B | $1.64B |
| FY25 | $40.70B | $-4.07B |
Vodafone Group plc (VOD) Valuation
Based on GoodMoat's DCF model, Vodafone Group plc has a fair value estimate of $4.71. At the current price of $16.15, the stock appears 243.1% overvalued relative to our intrinsic value estimate.
VOD Quality Indicators
Vodafone Group plc and an operating margin of -2.3%. The current ratio is 1.26. Debt-to-equity ratio is 1.01.
About Vodafone Group plc
Vodafone is a leading technology communications company keeping society connected and building a digital future for everyone. Vodafone is focused on two scaled and differentiated regional platforms in Europe and Africa. We operate mobile and fixed networks in 22 countries and partner with mobile networks in 48 more. As at 31 March 2020 we had over 300m mobile customers, more than 27m fixed broadband customers and over 22m TV customers. We connect for a better future. We are optimistic about how technology and connectivity can enhance the future and improve people’s lives. Through our business, we aim to build a digital society that enhances socio-economic progress, embraces everyone and does not come at the cost of our planet. That is why we have committed to improve one billion lives and halve our environmental impact by 2025.
VOD Free Cash Flow
Vodafone Group plc generated $12.02B in trailing twelve-month free cash flow, representing an FCF yield of 28.20%. This strong FCF yield suggests the company generates substantial cash relative to its market value.
VOD Shares Outstanding
Vodafone Group plc has 2.64 billion shares outstanding at a share price of $16.15, giving it a market capitalization of $42.62B.