Vodafone group public limited company VOD.US Value Analysis

US StockTelecommunications
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VOD Value Score

3

24

15

Average Growth
  • AI analysis rates VOD  with a medium value score of 3.
  • It is mainly due to  adequate operating cash flow, but with concerns regarding potential higher debt.
  • Over the past 3 months, VOD has maintained an average value rating of 3.5, close to the rating of 3.5 over the past 3 years, indicating stable enterprise value.
  • Compared to all stocks in the Telecommunications sector, VOD has a medium value rating.

VOD Value Reference Factors

The Value score is derived from various data and factor information, integrated through AI algorithms. The following factors are part of the evaluation used by AI value scores.

Update to 2024/11/19 (Weekly Update)

VOD Financial Forecast

Unit : USD

Update to 2025/5/4 (Quarterly Update)

VOD Earnings Table

Unit : USD

QTRNon-GAAP EPSEPS YoYEPS Surprise %SalesSales YoYSales Surprise %NPM
Current
0.04
-81.1%
-81.7%
18.28B
6,175.8%
-9.1%
5.8%

Update to 2025/5/6 (Quarterly Update)

VOD Historical Value Score

You can use historical scores of 3 or above to observe potential performance and make investment decisions.

VOD Value Strategy Backtest

The following backtest is based on specified rules since 2007. Price chart shows buy/sell time, cumulative returns, and backtesting statistics.

Entry
Exit

The Backtest Result of VOD from 2007/01 till Now

32.92%
Cumulative Return
1.57%
Annual Return
22.86%
Volatility
0.07
Sharpe Ratio

Statistics data for entering at or above a Value score of 4 and exiting at or below a Value score of 2 from January, 2007 to May, 2025. (Total Trades: 2)

VODSectorUS Overall Market
Wining Rate50%51%53%
Avg Return45.1%34.7%72.4%
Avg Profit133.7%106.1%166.4%
Avg Loss-43.5%-39.2%-34.5%
Avg Risk-Reward Ratio307.3%270.9%481.8%

Update to 2025/5/6 (Daily Update)

Top 10 High Relevance to VOD Value Score