Ticker: VOD

Vodafone Group

Telecom Communication Services Telecommunications Services
Price 16.48
Reco Sell Potential 45 Risk 70 Updated 2026-10-09

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Description

Company and Business Model

Vodafone Group is a multinational telecommunications company providing a range of communication services, including mobile and fixed-line voice, broadband, and TV services. Its core products encompass mobile network services, IoT solutions, and enterprise communication services. Major business segments include Europe and Africa, with primary revenue sources derived from mobile service subscriptions and fixed broadband services. The company operates in a competitive market, focusing on enhancing network capabilities and expanding digital services.

Investment Profile

Vodafone's investment profile is characterized as more suitable for value investors, given its focus on stabilizing revenue and potential for recovery in earnings. The stock may appeal to those seeking a balanced approach, with moderate growth prospects and a focus on operational efficiency. Investors should consider the company's strategic initiatives and market positioning when evaluating its long-term potential.

Fundamental metrics (experimental) Updated: 2026-10-09
EPS (TTM) — earnings per share for the last 12 months, $
-1.81
Revenue QoQ — quarter-over-quarter revenue growth
7.8%
20d volatility
1.4%
Dividend yield
3.3%
last ex-date
2026-06-05
AI recommendation changes
Date Before After Reason
2026-10-09 Hold Sell Weak fundamentals and negative momentum raise significant concerns.
2026-09-28 Sell Hold Weak fundamentals offset by steady dividend yield.
2026-09-20 Hold Sell Weak fundamentals and high risk limit upside potential.
Analyst forecasts
Date Analyst Action Target Price Then
2026-09-04 Goldman Sachs Update — → 20.93 16.58
2026-02-16 Goldman Sachs Target Raised 10.48 → 11.58 15.57
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