Financials: Vodafone Group Plc (VOD.L)

VOD.L on London Stock Exchange

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Price Change (% chg)

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Prev Close
138.25p
Open
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Day's High
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Day's Low
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Volume
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Avg. Vol
152,250,528
52-wk High
144.65p
52-wk Low
111.20p

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Revenue

Earnings Per Share

Consensus Estimates Analysis

  # of Estimates Mean High Low 1 Year Ago
SALES (in millions)
Quarter Ending Mar-10 3 11,249.80 11,436.00 11,046.00 --
Quarter Ending Jun-10 1 11,235.50 11,235.50 11,235.50 --
Year Ending Mar-10 31 43,738.90 44,717.00 38,545.40 42,978.60
Year Ending Mar-11 31 44,636.20 45,870.30 39,809.20 43,911.50
EARNINGS (per share)
Quarter Ending Mar-10 1 3.89 3.89 3.89 --
Quarter Ending Jun-10 1 3.83 3.83 3.83 --
Year Ending Mar-10 30 15.02 16.50 12.40 15.30
Year Ending Mar-11 30 15.28 17.51 13.10 15.96
LT Growth Rate (%) 9 3.06 6.20 -5.70 8.87

Sales and Earnings Figures in U.S. Dollars (USD)

Valuation Ratios

  Company Industry Sector S&P 500
P/E Ratio (TTM) 12.76 12.05 12.05 14.59
P/E High - Last 5 Yrs. -- 0.39 0.93 16.18
P/E Low - Last 5 Yrs. -- 0.17 0.26 4.36
Beta 0.72 0.47 0.51 1.33
Price to Sales (TTM) 1.71 1.20 0.97 2.01
Price to Book (MRQ) 0.84 1.35 1.23 2.58
Price to Tangible Book (MRQ) 7.38 1.76 1.60 5.66
Price to Cash Flow (TTM) 5.59 4.24 3.44 7.12
Price to Free Cash Flow (TTM) 44.81 24.47 16.87 12.79
% Owned Institutions -- -- -- --

Dividends

  Company Industry Sector S&P 500
Dividend Yield -- 0.16 0.26 1.71
Dividend Yield - 5 Year Avg. 5.02 2.23 2.36 2.35
Dividend 5 Year Growth Rate 27.32 25.78 21.93 -5.31
Payout Ratio(TTM) 71.73 60.70 52.98 24.71

Growth Rates

  Company Industry Sector S&P 500
Sales (MRQ) vs Qtr. 1 Yr. Ago 9.34 -0.83 -1.04 10.73
Sales (TTM) vs TTM 1 Yr. Ago 11.70 -3.67 -3.15 -4.74
Sales - 5 Yr. Growth Rate 4.10 0.19 0.51 7.42
EPS (MRQ) vs Qtr. 1 Yr. Ago 127.15 35.73 25.18 98.28
EPS (TTM) vs TTM 1 Yr. Ago 5.28 -- -- --
EPS - 5 Yr. Growth Rate -- 0.26 0.81 8.85
Capital Spending - 5 Yr. Growth Rate 9.00 3.22 2.07 5.91

Financial Strength

  Company Industry Sector S&P 500
Quick Ratio (MRQ) 0.47 1.78 1.48 0.81
Current Ratio (MRQ) 0.49 1.96 1.63 0.95
LT Debt to Equity (MRQ) 36.86 20.66 39.82 127.01
Total Debt to Equity (MRQ) 45.04 22.49 48.67 179.52
Interest Coverage (TTM) -- 0.22 0.20 11.83

Profitability Ratios

  Company Industry Sector S&P 500
Gross Margin (TTM) 35.76 52.74 54.66 31.64
Gross Margin - 5 Yr. Avg. 39.30 54.93 56.84 29.11
EBITD Margin (TTM) 24.80 -- -- --
EBITD - 5 Yr. Avg 12.75 33.55 33.81 15.13
Operating Margin (TTM) 18.32 15.64 14.14 --
Operating Margin - 5 Yr. Avg. 4.97 15.81 14.46 17.30
Pre-Tax Margin (TTM) 15.44 15.19 13.40 12.47
Pre-Tax Margin - 5 Yr. Avg. 1.98 17.76 15.62 16.97
Net Profit Margin (TTM) 13.31 9.24 8.38 9.80
Net Profit Margin - 5 Yr. Avg. -4.15 10.96 9.78 12.33
Effective Tax Rate (TTM) 13.83 32.79 34.84 14.83
Effecitve Tax Rate - 5 Yr. Avg. 309.54 38.63 38.20 26.46

Efficiency

  Company Industry Sector S&P 500
Revenue/Employee (TTM) 542,048 151,225,429 100,091,330 299,091
Net Income/Employee (TTM) 72,137 16,139,072 9,831,166 26,863
Receivable Turnover (TTM) 5.74 4.74 4.90 8.07
Inventory Turnover (TTM) 54.81 9.02 10.73 5.03
Asset Turnover (TTM) 0.30 0.55 0.55 0.44

Management Effectiveness

  Company Industry Sector S&P 500
Return on Assets (TTM) 4.02 6.05 5.15 4.25
Return on Assets - 5 Yr. Avg. -1.03 8.67 6.82 4.83
Return on Investment (TTM) 4.84 7.24 6.63 5.67
Return on Investment - 5 Yr. Avg. -1.19 11.03 8.99 6.33
Return on Equity (TTM) 7.02 8.90 8.41 12.56
Return on Equity - 5 Yr. Avg. -1.63 14.14 12.06 12.84
  1 Year 3 Years 5 Years
Sales % 15.61 11.80 4.10
EPS % -53.50 -- --
Dividend % 3.46 3.85 27.32
Note: Units in Millions of US Dollars

Performance for Vodafone Group Plc

Period %
Actual
% vs.
S&P 500
Rank In
Industry
Industry
Rank
4 Week 1.02 9.66 82 94
13 Week 0.94 3.65 59 78
26 Week 8.28 0.47 55 45
52 Week 0.61 -17.00 31 3
YTD -3.10 2.53 56 92
Note:: Rank is a percentile that ranges from 0 to 99, with 99 = best.

Institutional Holders

% Shares Owned: 90.45%
# of Holders: 920
Total Shares Held: 47,584,989,003
3 Mo. Net Change: 2,147,483,647
# New Positions: 15
# Closed Positions: 16
# Increased Positions: 116
# Reduced Positions: 165
# Net Buyers: -49
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