Vodafone Group PLC (VOD.L)

CBOE (London)Communication Services

£101
+£0.2 (+0.2%)
Last close

January 21, 2026 at 16:30 UTC

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About Vodafone Group PLC

Name

Vodafone Group PLC

CEO

António Rui de Lacerda Carrapatoso

Industry

Communication Services

Year Founded

1991

Employees

93,000

Vodafone Group PLC is a communications company that connects people and organisations through mobile and fixed networks, enterprise services, and digital channels. Its role is straightforward: provide reliable access, make accounts simple to manage, and keep policies consistent as customers move between regions and devices. Operations are organised so planning horizons for spectrum and fibre sit alongside the day-to-day work of care and field service, which helps access feel like a utility rather than a project. Business clients apply one set of rules across offices and cloud environments; households see a signal that holds and a bill that reads the same each month. Partnerships extend reach where local networks are required, while the customer experience stays familiar. Within communication services, Vodafone presents connectivity as calm infrastructure. Vodafone Group PLC stock (VOD.L) is often referenced when portfolios consider European and international access providers in a single name.

Analyst Ratings
Consensus Recommendation
Analyst consensus: 12 Buy, 10 Hold, 2 Sell
Buy12
Hold10
Sell2
Fundamentals & Financials
Revenue (TTM)
£38.4B
Net Income (TTM)
£-4.4B
EPS (TTM)
£-0.2
ROA (TTM)
-3.43%
Current Ratio
1.17
Dividend Yield
0.1%

TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.

Income Statement (Quarterly)
ItemQ3 2025
Revenue£19,302M
Cost of Sales£13,022M
Gross Profit£6,280M
Operating Income£2,335M
Net Income£816,001K
EPS£0
Technical Indicators

Vodafone Group PLC's Technical Indicators Summary

Vodafone’s shares currently trade just below the classic pivot and VWAP levels, suggesting a cautious stance from the market. The trend strength remains robust, supported by a strong ADX reading above 40, while momentum indicators like RSI and CCI hover in neutral territory, reflecting balanced buying and selling pressures. The price sits near its short-term moving averages, with a mixed signal as the 10-day SMA suggests slight weakness, but longer-term averages up to the 200-day continue to indicate an overall upward bias. Volatility remains moderate, and the rising on-balance volume supports steady accumulation. Together, these factors point to a neutral technical outlook with no clear directional bias.

Buy
12 signals
Neutral
10 signals
Sell
2 signals
Overall: Neutral42% Neutral signals
IndicatorValue
CCI (20)
57.90
RSI (14)
59.43
Stochastic %K (14, 3, 3)
57.75
WPR (14)
-50.41
Momentum (10)
0.55
MFI
62.13
MACD Level (12, 26)
1.64
Bollinger Bands
$95.38 - $104.00
ATR (14)
$2.28 (2.25%)
ADX (14)
42.46
OBV
4,027,537,692
VWAP
$101.48
Classic Pivot Point
$101.75
Fibonacci Pivot Point
$101.75
Simple Moving Averages
$84.44 - $101.25(5 indicators)
Exponential Moving Averages
$85.24 - $100.69(5 indicators)
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Today's Snapshot

The session wrapped with VOD.L barely above yesterday’s 100.95, as the tiny 0.198% gap left it finishing around 101.15. Into the bell, a soft sector rise of 0.80% left a constructive backdrop for VOD.L. VOD.L's modest gain amid a soft sector rise reflects a stable trading environment with limited company-specific news.

Price Change

from £100.95 close

+£0.2

Trading Volume

Below avg (77.7M)

45.5M

vs S&P 500 Today

Underperforming Market

-0.92%

52-Week Position

Upper range

82.3%

Updated: January 21, 2026 at 16:03 UTC

Quote Summary
OpenPrevious Close
£101.05£100.95
Day Range52 Week Range
£100.65 - £101.55£62.4 - £109.49
VolumeAvg. Volume
70.1M76.9M
Market CapP/E Ratio
£23.6B11.6