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Vodafone Group Public Limited Company

VODCommunication ServicesNASDAQ

Telecom Services · Last scanned Sep 9, 2026

PriceMA150MA200
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Financials · Annual
Revenue
$40.46B
+8.0% YoY
Net Income
-$397.0M
+90.5% YoY
EBITDA
$16.77B
+44.4% YoY
Free Cash Flow
$5.17B

Scan Results

Daily timeframe
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DateIndicatorDetails
Aug 21 MACD Negative CrossoverHistogram -0.0352, negative momentum
Aug 20 MACD Negative CrossoverHistogram -0.0177, negative momentum
About Vodafone Group Public Limited Company

Headquartered within the communication services sector, Vodafone Group Public Limited Company focuses on Telecom Services services and products. Vodafone Group Public Limited Company provides telecommunication services in Germany, the United Kingdom, rest of Europe, Turkey, and South Africa. With a market capitalization of $40.00B, it sits in large-cap territory. It offers mobile and fixed services; connectivity business solutions, such as digital services, the Internet of Things (IoT) and financial services; and IoT platforms.

Where VOD stands vs its 150-day and 200-day moving averages

As of the August 21, 2026 close, VOD finished 7.52% above its 150-day moving average ($14.89) and 12.43% above its 200-day moving average ($14.24). This snapshot is end-of-day data shown with a five-trading-day delay on the free plan; Premium members see readings from the latest close.

Is VOD overbought or oversold?

At the August 21, 2026 close, VOD's RSI(14) was 53.7, in neutral territory (between 30 and 70). The MACD histogram was negative, so short-term momentum leaned bearish at that close. These readings are historical, refresh daily after market close, and are not investment advice.

Key stats
Market Cap$40.00B
Fwd P/E9.71
EPS$-0.14
Beta0.33
52W Change+42.5%
Dividend Yield3.18%
ROE0.1%
Analysis

Vodafone Group Public Limited Company carries $54.45B in total debt against $14.58B in cash reserves — debt is roughly 3.7x the cash position. Managing this leverage effectively will be important for long-term financial stability. Annual free cash flow of $5.17B supports ongoing capital allocation decisions and provides a cushion against unexpected expenses or downturns. Return on equity stands at 0.1%, which is modest for the sector. ROE measures how effectively a company uses shareholder capital to generate profits. ROA of 1.5% is on the lower side, which is common in asset-heavy industries. Revenue has been relatively flat, moving from $37.67B (2023) to $40.46B (2026).

With a beta below 0.7, Vodafone Group Public Limited Company typically sees smaller price swings than the overall market, offering a degree of stability during turbulent periods. No single metric tells the full story. Reviewing VOD's risk profile alongside its fundamentals and technical indicators provides a more complete picture.

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