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VOD

Vodafone Group·NASDAQ
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6.09 / 10
Outperform

Fundamentally, Vodafone scores 6.1/10 and is rated Outperform. Asset‑to‑Market‑Value, Cash‑to‑MV and Gross‑profit margin are strong, supporting robust returns. Weaknesses lie in Net‑income‑to‑Revenue and Inventory turnover, dragging performance. Overall, fundamentals are promising despite these gaps.

Fundamental(6.09)SentimentTechnical

Analysis Checks(7/10)

Revenue-MV
Value-0.28
Score2/3
Weight11.88%
1M Return11.28%
Inventory turnover ratio
Value42.07
Score1/3
Weight-0.34%
1M Return-0.40%
Gross profit margin (%)
Value33.43
Score3/3
Weight8.62%
1M Return8.19%
Net cash flow from operating activities / Operating revenue (%)
Value41.05
Score1/3
Weight1.95%
1M Return1.85%
Net income-Revenue
Value-0.41
Score0/3
Weight7.50%
1M Return7.28%
Total profit (YoY growth rate %)
Value-191.23
Score2/3
Weight4.04%
1M Return3.68%
Net cash flow from operating activities (YoY growth rate %)
Value-7.15
Score3/3
Weight10.18%
1M Return8.57%
Asset-MV
Value-0.06
Score3/3
Weight36.20%
1M Return22.92%
Inventory turnover days
Value8.56
Score2/3
Weight-0.27%
1M Return-0.26%
Cash-MV
Value2.23
Score3/3
Weight20.23%
1M Return11.20%
Is VOD undervalued or overvalued?
  • VOD scores 6.09/10 on fundamentals and holds a Discounted valuation at present. Backed by its 1.50% ROE, -9.68% net margin, -7.19 P/E ratio, 0.51 P/B ratio, and -271.54% earnings growth, these metrics solidify its Outperform investment rating.