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Vodafone Probability Of Bankruptcy

 
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Probability Of Bankruptcy breakdown for Vodafone

For stocks, Probability Of Bankruptcy is normalized value of Z-Score. For funds and ETFs it is derived from a multi-factor model developed by Macroaxis.The score is used to predict probability of a firm or a fund going into bankruptcy or experiencing financial distress within next 24 months. Unlike Z-Score, Probability Of Bankruptcy is the value between 0 and 100 indicating the actual probability the firm will be distressed in the next 2 fiscal years.

Vodafone

Probability Of Bankruptcy

=

Normalized

Z-Score

=
43.40 %
Companies or funds with Probability Of Bankruptcy above 90% are generally considered to be high risk with a good chance of bankruptcy in the next 2 years. On the other hand entities with Probability Of Bankruptcy of less than 15% will most likely experience some growth in the next 2 years. Probability Of Bankruptcy is based on Macroaxis own algorithm and can be used by auditors, accountants, money managers, financial advisers, as well as day traders to evaluate unsystematic risk of a stock, fund or ETF.
Compare Vodafone to competition
Based on latest financial disclosure Vodafone Group Public Limited Company has Probability Of Bankruptcy of 43.4%. This is much higher than that of sector, and significantly higher than that of Probability Of Bankruptcy industry, The Probability Of Bankruptcy for all stocks is over 1000% lower than the firm.

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Chance of
Bankruptcy
Less
Than
43%
In The Next
Two Years
Vodafone Group Public Limited Company has less than 43.4 (%) percent chance of experiencing financial distress in the next 2 years of operations.
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VOD United States Nasdaq
Vodafone Group Public Limited Company
Benchmark S&P 500
Currency: USD - US Dollar
Traded on NASDAQ
    
    

Other Vodafone Fundamentals

Return On Equity(1.96) %
Return On Asset2.70 %
Profit Margin(3.80) %
Operating Margin13.44 %
Current Valuation192.99 B
Shares Outstanding4.92 B
Number of Shares Shorted12.64 M
Price to Earning11.95 times
Price to Book1.32 times
Price to Sales2.04 times
Revenue71.81 B
Gross Profit23.76 B
EBITDA21.75 B
Net Income(2.73 B)
Cash and Equivalents12.23 B
Cash per Share2.49 times
Total Debt57.09 B
Debt to Equity0.50 times
Current Ratio0.74 times
Book Value Per Share22.69 times
Cash Flow from Operations18.69 B
Short Ratio1.20 times
One Year High30.8
One Year Low24.42
Earnings Per Share(0.55) times
Price to Earnings To Growth2.13 times
Number of Employees86.37 K
Beta0.78
Market Capitalization148.13 B
Total Asset223.01 B
Retained Earnings(134.5 B)
Working Capital(6.39 B)
Current Asset32 B
Current Liabilities38.39 B
Z Score1.2
Probability Of Bankruptcy43.40 %


 
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