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VOD Vodafone

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  • 9.075
  • +0.035+0.39%
Trading Jul 22 13:30 ET
24.13BMarket Cap19.86P/E (TTM)

Vodafone Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-87.52%1.57B
386.17%12.58B
435.82%2.59B
206.15%483M
88.93%-455M
-186.38%-4.11B
341.23%4.76B
61.50%-1.97B
-168.50%-5.12B
-89.60%7.48B
Deferred tax
-89.84%50M
-68.48%492M
-59.60%1.56B
209.12%3.86B
-16.44%1.25B
270.19%1.5B
-118.45%-879M
-3.50%4.76B
181.32%4.94B
69.75%-6.07B
Other non cash items
126.40%1.98B
-563.56%-7.51B
7.50%1.62B
306.58%1.51B
-144.75%-729M
82.42%1.63B
151.55%893M
-84.80%355M
48.92%2.34B
-44.23%1.57B
Change In working capital
-85.61%114M
461.64%792M
-1.39%-219M
-208.57%-216M
-112.13%-70M
167.25%577M
-1,687.50%-858M
90.32%-48M
68.23%-496M
-193.40%-1.56B
-Change in receivables
-22.84%-597M
22.73%-486M
-208.08%-629M
1,631.58%582M
-22.58%-38M
97.23%-31M
-462.99%-1.12B
145.03%308M
-352.98%-684M
-123.72%-151M
-Change in inventory
205.36%177M
1.75%-168M
-151.47%-171M
-200.00%-68M
151.91%68M
-403.85%-131M
-122.22%-26M
181.25%117M
-89.47%-144M
-1,669.91%-76M
Cash from discontinued investing activities
Operating cash flow
-8.29%16.56B
-0.15%18.05B
5.03%18.08B
-0.94%17.22B
33.89%17.38B
-4.56%12.98B
-4.38%13.6B
-0.79%14.22B
13.17%14.34B
68.09%12.67B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
13.62%-4.2B
-7.39%-4.87B
15.61%-4.53B
-4.86%-5.37B
-2.26%-5.12B
-2.71%-5.01B
21.88%-4.88B
22.95%-6.24B
-13.57%-8.1B
-36.52%-7.13B
Net intangibles purchase and sale
5.64%-2.64B
-17.85%-2.8B
26.40%-2.38B
-33.18%-3.23B
21.79%-2.42B
4.56%-3.1B
-26.01%-3.25B
54.15%-2.58B
-99.72%-5.62B
0.12%-2.81B
Net business purchase and sale
-94.81%358M
689,700.00%6.9B
-99.77%1M
105.87%428M
-1,361.32%-7.29B
-259.94%-499M
-34.59%312M
895.00%477M
98.49%-60M
-110.75%-3.98B
Net investment purchase and sale
-20.77%698M
-30.79%881M
162.96%1.27B
-133.93%-2.02B
538.24%5.96B
48.70%-1.36B
-292.38%-2.65B
-22.67%1.38B
109.89%1.78B
-44.72%849M
Net other investing changes
7.90%-1.32B
32.52%-1.43B
---2.12B
----
----
-50.61%-372M
89.39%-247M
-0.82%-2.33B
-96.76%-2.31B
---1.17B
Cash from discontinued investing activities
Investing cash flow
-1,515.30%-6.12B
94.48%-379M
25.85%-6.87B
-14.52%-9.26B
12.25%-8.09B
6.34%-9.22B
-16.83%-9.84B
39.28%-8.42B
-4.81%-13.87B
-135.57%-13.23B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-178.40%-9.07B
-135.65%-3.26B
87.04%-1.38B
-195.79%-10.67B
-130.43%-3.61B
1,344.96%11.85B
-64.71%-952M
-106.56%-578M
152.18%8.81B
124.86%3.49B
Net common stock issuance
100.16%3M
11.02%-1.86B
-3,561.40%-2.09B
93.00%-57M
-73.93%-814M
73.20%-468M
-7,084.00%-1.75B
0.00%25M
-19.35%25M
100.17%31M
Cash dividends paid
2.17%-2.43B
-0.40%-2.48B
-1.94%-2.47B
-5.71%-2.43B
43.50%-2.3B
-3.67%-4.06B
-5.55%-3.92B
11.32%-3.71B
-11.44%-4.19B
38.83%-3.76B
Net other financing activities
48.33%-1.87B
-141.48%-3.62B
-399.40%-1.5B
16,766.67%500M
99.70%-3M
-246.28%-1B
121.73%685M
-395.41%-3.15B
200.38%1.07B
-691.28%-1.06B
Cash from discontinued financing activities
Financing cash flow
-18.06%-15.86B
-38.37%-13.43B
36.13%-9.71B
-62.49%-15.2B
-310.77%-9.35B
161.34%4.44B
20.47%-7.23B
-322.83%-9.1B
229.10%4.08B
92.37%-3.16B
Net cash flow
Beginning cash position
57.75%11.63B
27.31%7.37B
-56.43%5.79B
-2.33%13.29B
152.22%13.61B
-42.01%5.39B
-27.95%9.3B
36.02%12.91B
-22.48%9.49B
34.79%12.25B
Current changes in cash
-227.68%-5.42B
181.69%4.25B
120.81%1.51B
-11,773.77%-7.24B
-100.74%-61M
335.97%8.2B
-5.43%-3.48B
-172.49%-3.3B
221.97%4.55B
-213.21%-3.73B
Effect of exchange rate changes
-883.33%-94M
-83.78%12M
129.02%74M
0.39%-255M
-2,427.27%-256M
102.54%11M
-38.34%-433M
72.25%-313M
-215.69%-1.13B
800.53%975M
End cash Position
-47.42%6.11B
57.75%11.63B
27.31%7.37B
-56.43%5.79B
-2.33%13.29B
152.22%13.61B
-42.01%5.39B
-27.95%9.3B
36.02%12.91B
-22.44%9.49B
Free cash flow
-5.84%9.7B
-7.72%10.3B
30.13%11.16B
-12.27%8.58B
102.40%9.77B
-11.18%4.83B
1.40%5.44B
1,083.66%5.36B
-82.10%453M
521.63%2.53B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -87.52%1.57B386.17%12.58B435.82%2.59B206.15%483M88.93%-455M-186.38%-4.11B341.23%4.76B61.50%-1.97B-168.50%-5.12B-89.60%7.48B
Deferred tax -89.84%50M-68.48%492M-59.60%1.56B209.12%3.86B-16.44%1.25B270.19%1.5B-118.45%-879M-3.50%4.76B181.32%4.94B69.75%-6.07B
Other non cash items 126.40%1.98B-563.56%-7.51B7.50%1.62B306.58%1.51B-144.75%-729M82.42%1.63B151.55%893M-84.80%355M48.92%2.34B-44.23%1.57B
Change In working capital -85.61%114M461.64%792M-1.39%-219M-208.57%-216M-112.13%-70M167.25%577M-1,687.50%-858M90.32%-48M68.23%-496M-193.40%-1.56B
-Change in receivables -22.84%-597M22.73%-486M-208.08%-629M1,631.58%582M-22.58%-38M97.23%-31M-462.99%-1.12B145.03%308M-352.98%-684M-123.72%-151M
-Change in inventory 205.36%177M1.75%-168M-151.47%-171M-200.00%-68M151.91%68M-403.85%-131M-122.22%-26M181.25%117M-89.47%-144M-1,669.91%-76M
Cash from discontinued investing activities
Operating cash flow -8.29%16.56B-0.15%18.05B5.03%18.08B-0.94%17.22B33.89%17.38B-4.56%12.98B-4.38%13.6B-0.79%14.22B13.17%14.34B68.09%12.67B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 13.62%-4.2B-7.39%-4.87B15.61%-4.53B-4.86%-5.37B-2.26%-5.12B-2.71%-5.01B21.88%-4.88B22.95%-6.24B-13.57%-8.1B-36.52%-7.13B
Net intangibles purchase and sale 5.64%-2.64B-17.85%-2.8B26.40%-2.38B-33.18%-3.23B21.79%-2.42B4.56%-3.1B-26.01%-3.25B54.15%-2.58B-99.72%-5.62B0.12%-2.81B
Net business purchase and sale -94.81%358M689,700.00%6.9B-99.77%1M105.87%428M-1,361.32%-7.29B-259.94%-499M-34.59%312M895.00%477M98.49%-60M-110.75%-3.98B
Net investment purchase and sale -20.77%698M-30.79%881M162.96%1.27B-133.93%-2.02B538.24%5.96B48.70%-1.36B-292.38%-2.65B-22.67%1.38B109.89%1.78B-44.72%849M
Net other investing changes 7.90%-1.32B32.52%-1.43B---2.12B---------50.61%-372M89.39%-247M-0.82%-2.33B-96.76%-2.31B---1.17B
Cash from discontinued investing activities
Investing cash flow -1,515.30%-6.12B94.48%-379M25.85%-6.87B-14.52%-9.26B12.25%-8.09B6.34%-9.22B-16.83%-9.84B39.28%-8.42B-4.81%-13.87B-135.57%-13.23B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -178.40%-9.07B-135.65%-3.26B87.04%-1.38B-195.79%-10.67B-130.43%-3.61B1,344.96%11.85B-64.71%-952M-106.56%-578M152.18%8.81B124.86%3.49B
Net common stock issuance 100.16%3M11.02%-1.86B-3,561.40%-2.09B93.00%-57M-73.93%-814M73.20%-468M-7,084.00%-1.75B0.00%25M-19.35%25M100.17%31M
Cash dividends paid 2.17%-2.43B-0.40%-2.48B-1.94%-2.47B-5.71%-2.43B43.50%-2.3B-3.67%-4.06B-5.55%-3.92B11.32%-3.71B-11.44%-4.19B38.83%-3.76B
Net other financing activities 48.33%-1.87B-141.48%-3.62B-399.40%-1.5B16,766.67%500M99.70%-3M-246.28%-1B121.73%685M-395.41%-3.15B200.38%1.07B-691.28%-1.06B
Cash from discontinued financing activities
Financing cash flow -18.06%-15.86B-38.37%-13.43B36.13%-9.71B-62.49%-15.2B-310.77%-9.35B161.34%4.44B20.47%-7.23B-322.83%-9.1B229.10%4.08B92.37%-3.16B
Net cash flow
Beginning cash position 57.75%11.63B27.31%7.37B-56.43%5.79B-2.33%13.29B152.22%13.61B-42.01%5.39B-27.95%9.3B36.02%12.91B-22.48%9.49B34.79%12.25B
Current changes in cash -227.68%-5.42B181.69%4.25B120.81%1.51B-11,773.77%-7.24B-100.74%-61M335.97%8.2B-5.43%-3.48B-172.49%-3.3B221.97%4.55B-213.21%-3.73B
Effect of exchange rate changes -883.33%-94M-83.78%12M129.02%74M0.39%-255M-2,427.27%-256M102.54%11M-38.34%-433M72.25%-313M-215.69%-1.13B800.53%975M
End cash Position -47.42%6.11B57.75%11.63B27.31%7.37B-56.43%5.79B-2.33%13.29B152.22%13.61B-42.01%5.39B-27.95%9.3B36.02%12.91B-22.44%9.49B
Free cash flow -5.84%9.7B-7.72%10.3B30.13%11.16B-12.27%8.58B102.40%9.77B-11.18%4.83B1.40%5.44B1,083.66%5.36B-82.10%453M521.63%2.53B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes------------Unqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory Notes

Analysis

Analyst Rating

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Price Target

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