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Vodafone Group Public Limited Company VOD NASDAQ

NASDAQ Global Select • Communication Services • Telecommunications Services • GB • USD

SharesGrow Score
37/100
0/7 Pass
SharesGrow Intrinsic Value
$746.37
+4678.3%
Analyst Price Target
$11.58
-25.9%
SharesGrow 7-Criteria Score All 7 criteria scored · valuation-related highlighted on this page

Vodafone Group Public Limited Company (VOD) has a negative trailing P/E of -7.5, meaning the company is currently unprofitable on a trailing twelve-month (TTM) basis. The forward P/E of 17.5 based on analyst estimates suggests a return to profitability is expected. Trailing earnings yield is -13.26%, forward earnings yield 5.70%. PEG 0.98 (Peter Lynch undervalued ≤1.0).

Criteria proven by this page:

  • VALUE (34/100, Fail) — negative P/E indicates the company is currently operating at a loss — DCF and P/E-based valuation models cannot produce meaningful results for unprofitable companies (P/E -7.5); trailing earnings yield is below the 10-year Treasury yield (~4.3%), meaning bonds offer a better return (EY -13.26%); analyst consensus target implies downside from the current price ($11.58, 25.9%).
  • Forward P/E 17.5 — analysts expect a return to profitability with estimated EPS of $0.89 for FY2026.
  • PEG Ratio 0.98 — below 1.0 suggests the stock is undervalued relative to its earnings growth rate (Peter Lynch criterion).
  • Trailing Earnings Yield -13.26% — negative yield confirms the company is currently unprofitable. Investors are paying for a turnaround rather than current earnings. Forward yield improves to 5.70% as earnings recover.
  • Analyst consensus target $11.58 (-25.9% downside) — analysts see meaningful downside risk at the current price level.

Overall SharesGrow Score: 37/100 with 0/7 criteria passed.

SharesGrow 7-Criteria Score
37/100
SG Score
View full scorecard →
VALUE
34/100
Price-to-Earnings & upside
Proven by this page
FUTURE
28/100
Analyst consensus
→ Forecast
~
PAST
75/100
→ Income
HEALTH
33/100
Debt-to-Equity & liquidity
→ Health
~
MOAT
66/100
→ Income
GROWTH
15/100
→ Income
INCOME
10/100
→ Income

Valuation Snapshot — VOD

Valuation Multiples
P/E (TTM)-7.5
Forward P/E17.5
PEG Ratio0.98
Forward PEG0.98
P/B Ratio0.63
P/S Ratio0.82
EV/EBITDA5.8
Per Share Data
EPS (TTM)$-0.18
Forward EPS (Est.)$0.89
Book Value / Share$2.31
Revenue / Share$1.57
FCF / Share$0.40
Yields & Fair Value
Earnings Yield-13.26%
Forward Earnings Yield5.70%
Dividend Yield3.07%
SharesGrow IV$746.37 (+4678.3%)
Analyst Target$11.58 (-25.9%)

Historical Valuation

Year P/E (TTM) PEG Ratio P/B Ratio P/S Ratio Dividend Yield
2016 -14.7 0.09 0.90 1.45 5.06%
2017 -31.6 0.54 0.96 1.45 5.36%
2018 14.2 -0.05 0.93 1.35 6.25%
2019 -9.7 0.05 0.74 1.02 8.87%
2020 -32.6 0.43 0.50 0.67 7.49%
2021 653.3 -6.20 0.69 0.88 6.30%
2022 16.5 0.00 0.60 1.00 6.72%
2023 2.4 0.01 0.41 0.75 8.82%
2024 19.4 -0.22 0.37 0.60 10.98%
2025 -5.5 0.01 0.40 0.61 7.79%

EPS: Actual vs Estimates

P/E Ratio & Earnings Yield

Earnings Per Share (EPS) History

Year EPS (Diluted) Revenue Net Income Net Margin
2016 $-1.90 $51.96B $-5.1B -9.8%
2017 $-0.78 $47.63B $-2.19B -4.6%
2018 $1.60 $46.57B $4.41B 9.5%
2019 $-1.60 $43.67B $-4.49B -10.3%
2020 $-0.37 $44.97B $-920M -2%
2021 $0.02 $43.81B $59M 0.1%
2022 $0.77 $45.58B $2.24B 4.9%
2023 $4.30 $45.71B $11.84B 25.9%
2024 $0.42 $36.72B $1.14B 3.1%
2025 $-1.60 $37.45B $-4.17B -11.1%

Analyst Estimates

Year EPS (Avg) EPS Range Revenue (Avg) Revenue Range Analysts
2026 $0.90 $0.59 – $1.19 $41.17B $40.07B – $42.26B 2
2027 $1.06 $0.82 – $1.30 $43.68B $42.77B – $44.6B 2
2028 $1.23 $1.19 – $1.27 $44.51B $43.8B – $45.22B 1
2029 $1.49 $1.44 – $1.54 $44.84B $43.83B – $46.14B 1
2030 $1.71 $1.66 – $1.78 $44.82B $43.81B – $46.12B 1
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