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| Factor | Score | Distribution | Value | Avg | Verdict |
|---|---|---|---|---|---|
Valuation | 77 | — | 20.1x | Above average | |
Growth | 70 | 8.8% | 5.6% | Above average | |
Quality | 32 | -0.4% | 7.6% | Below average | |
Safety | 23 | 2.7x | 0.4x | Below average | |
Capital Return | 92 | — | 2.19% | Above average | |
Momentum | 66 | — | — | Near average | |
Sentiment | 40 | — | — | Near average |
Vodafone Group Public Limited Company is a publicly traded stock representing ownership in the company, giving holders rights to dividends and voting.
You can buy Vodafone Group Public Limited Company shares through a licensed brokerage. Research the company's financials before investing.
Key metrics include Price-to-Earnings (P/E) ratio, Return on Equity (ROE), revenue growth, and net profit margin.
Dividend policies vary by company. Check the dividends section on the stock page for the payout history.
Risks include market volatility, sector-specific risks, regulatory changes, and company financial performance. Diversification helps reduce risk.
AI analysis from the earnings call, financials and news
This section combines price targets, revision history, analyst coverage changes, and an AI summary of what changed on the Street.
Current data for Vodafone Group indicates a notable negative gap between the current market price (14.94) and the average analyst price target (11.58), reflecting a cautious bearish outlook. Although new analysts have recently joined the coverage of the stock, the price target has remained unchanged at its lowest levels, with a total lack of Dispersion among the three analysts, suggesting a technical consensus on a low valuation.
Ten ratios that matter, each compared against its sector median and average — so you can see whether a number is rich or cheap relative to peers in the same sector.