Vodafone Group PLC
LSE:VOD

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Vodafone Group PLC Logo
Vodafone Group PLC
LSE:VOD
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Price: 70.08 GBX 1.74% Market Closed
Market Cap: 18.2B GBX
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Net Margin
Vodafone Group PLC

3.4%
Current
9%
Average
3.5%
Industry

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
3.4%
=
Net Income
1.2B
/
Revenue
36.8B

Net Margin Across Competitors

Country UK
Market Cap 19B GBP
Net Margin
3%
Country US
Market Cap 277.5B USD
Net Margin
13%
Country ZA
Market Cap 197.2B Zac
Net Margin
11%
Country CN
Market Cap 1.4T CNY
Net Margin
13%
Country ZA
Market Cap 146.9B Zac
Net Margin
-6%
Country IN
Market Cap 8.9T INR
Net Margin
8%
Country JP
Market Cap 12.6T JPY
Net Margin
1%
Country JP
Market Cap 10.5T JPY
Net Margin
11%
Country JP
Market Cap 9.2T JPY
Net Margin
8%
Country MX
Market Cap 949.4B MXN
Net Margin
4%
Country TH
Market Cap 859.5B THB
Net Margin
16%
No Stocks Found

Vodafone Group PLC
Glance View

Market Cap
19B GBX
Industry
Telecommunication

Vodafone Group PLC, a prominent telecommunications giant, has carved out a significant presence in the global market since its inception in 1984. Based in the UK, Vodafone serves millions of customers across various regions, including Europe, Africa, and Asia. With a robust portfolio encompassing mobile communication, broadband, and enterprise solutions, the company is positioned as a key player in the rapidly evolving digital landscape. Its strategic investments in 5G technology and partnerships with leading tech firms underscore its commitment to innovation and customer service, aiming to meet the increasing demand for high-speed connectivity in both personal and business contexts. As an investor, Vodafone's potential becomes clearer through its steady revenue streams and commitment to shareholder returns. The company boasts a diverse global footprint, which helps mitigate risks associated with market fluctuations. With a focus on sustainable growth, Vodafone is also investing in new business ventures, such as IoT (Internet of Things) and digital services, to enhance its competitive edge. The company’s strong financial discipline, evidenced by consistent cash flow and a reliable dividend policy, positions it as a compelling option for investors seeking stability in a dynamic industry. As Vodafone navigates the complex telecommunications landscape, its historical resilience and forward-looking strategies make it a significant contender for any investment portfolio.

VOD Intrinsic Value
249.16 GBX
Undervaluation 72%
Intrinsic Value
Price

See Also

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What is Net Margin?

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
3.4%
=
Net Income
1.2B
/
Revenue
36.8B
What is the Net Margin of Vodafone Group PLC?

Based on Vodafone Group PLC's most recent financial statements, the company has Net Margin of 3.4%.