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Vodafone fundamentals

 
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Vodafone Group Public

Stock@XETRA Stock Exchange 
Germany EUR
  
4.27 times
    
Use fundamental data analysis to make sure to check available indicators of Vodafone Group Public as well as the relationship between them to find out if markets are presently mispricing the corporation. We found thirty-two available drivers for Vodafone Group Public Limited Company which can be compared to its competition. To make sure the equity is not overpriced, please validate all Vodafone fundamentals including its Price to Earning, Price to Sales and the relationship between Shares Outstanding and Price to Book .

Vodafone Market Capitalization vs Price to Earning

Vodafone Group Public Limited Company is rated fourth in market capitalization category among related companies. It is rated second in price to earning category among related companies . The ratio of Market Capitalization to Price to Earning for Vodafone Group Public Limited Company is about  683,302,154 

Vodafone Fundamentals

    
 Better Than Average     
    
 Worse Than Average Compare Vodafone to competition
VodafonePeer Average
Return On Equity
0.89 %
(5.66) %
Return On Asset
2.43 %
(6.86) %
Profit Margin
0.97 %
0.61 %
Operating Margin
12.33 %
(3.79) %
Current Valuation
158.91 B
29.7 B
Shares Outstanding
4.88 B
303.85 M
Price to Earning
165.71 times
25.38 times
Price to Book
0.99 times
6.18 times
Price to Sales
1.58 times
7.58 times
Revenue
71.44 B
8.16 B
Gross Profit
15.03 B
5.43 B
EBITDA
21.33 B
1.1 B
Net Income
689.55 M
427.39 M
Cash and Equivalents
20.85 B
2.89 B
Cash per Share
4.27 times
4.48 times
Total Debt
66.54 B
5.29 B
Debt to Equity
0.57 times
0.41 times
Current Ratio
0.75 times
2.42 times
Book Value Per Share
23.54 times
13.52 times
Cash Flow from Operations
17.19 B
597.26 M
One Year High
24.0
36.96
One Year Low
18.5
21.24
Earnings Per Share
0.14 times
2.05 times
Market Capitalization
113.23 B
11.26 B
Total Asset
158.35 B
29.6 B
Retained Earnings
(75.27 B)
7.66 B
Working Capital
(10.23 B)
648.5 M
Current Asset
19.33 B
9.65 B
Current Liabilities
29.57 B
9.01 B
Z Score
0.6
423.37
Probability Of Bankruptcy
47.00 %
34.55 %

Vodafone Company Summary

Vodafone competes with VODAFONE, CHINA, CHINA, TELEFONICA, and TELEFONICA. It offers mobile voice services to approximately 407 million customers; messaging services; mobile data services; fixed broadband services; and whole sale carrier services. Vodafone Group Public Limited Company also offer business managed services, such as secure remote network access services, as well as operates and sells mobile virtual network access. In addition, it supplies smartphones and tablets; designs, manufactures, and sells handsets under the Vodafone brand; and supplies connected smart devices, such as 4G/LTE mobile broadband stick, and Vodafone WebBox that enables customer to connect to the Internet through television sets. Vodafone Group Public Limited Company directly owns and manages approximately 2, 200 stores, as well as has approximately 10, 300 Vodafonebranded stores operated through franchises and dealer arrangements. It also offers its solutions and services through third party services providers, independent dealers, distributors, and retailers, as well as through Internet. Vodafone Group Plc was founded in 1984 and is based in Newbury, the United Kingdom.
Chance of
Bankruptcy
Less
Than
47%
In The Next
Two Years
Vodafone Group Public Limited Company has less than 47.0 (%) percent chance of experiencing financial distress in the next 2 years of operations.
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Vodafone Selected Financial Ratios

One Year High vs Number of Employees
Total Asset vs Gross Profit
One Year High vs Z Score
Revenue vs Gross Profit
One Year High vs Shares Outstanding
Cash per Share vs Gross Profit
One Year High vs Cash and Equivalents
Earnings Per Share vs Gross Profit

 
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