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VODAF VODACOM GROUP LIMITED

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  • 5.750
  • 0.0000.00%
15min DelayClose Dec 19 16:00 ET
11.13BMarket Cap14.09P/E (TTM)

VODACOM GROUP LIMITED 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
12.46%28.12B
1.81%25.01B
3.29%24.56B
3.14%23.78B
4.39%23.06B
-0.02%22.09B
14.90%22.09B
2.04%19.23B
5.56%18.84B
--17.85B
Other non cash items
43.46%6.76B
28.22%4.71B
7.36%3.68B
-10.35%3.42B
60.56%3.82B
12.81%2.38B
3.28%2.11B
19.15%2.04B
8.97%1.71B
--1.57B
Change In working capital
-108.37%-194M
6,167.57%2.32B
-85.71%37M
-42.95%259M
21.39%454M
132.08%374M
-915.38%-1.17B
113.38%143M
27.87%-1.07B
---1.48B
-Change in receivables
-8.96%-5.21B
-221.47%-4.78B
42.16%-1.49B
-54.02%-2.57B
-52.05%-1.67B
43.69%-1.1B
-8.64%-1.95B
26.18%-1.79B
-421.24%-2.43B
---466M
-Change in inventory
-197.17%-315M
82.15%-106M
-455.69%-594M
203.64%167M
132.35%55M
-1,407.69%-170M
-96.56%13M
179.08%378M
-323.01%-478M
---113M
Cash from discontinued investing activities
Operating cash flow
19.68%49.01B
20.35%40.95B
2.00%34.03B
1.61%33.36B
17.10%32.83B
7.41%28.04B
1.42%26.11B
5.73%25.74B
14.73%24.34B
-10.10%21.22B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
----
----
----
----
----
-26.12%-13.65B
7.39%-10.83B
13.83%-11.69B
-5.89%-13.57B
-34.35%-12.81B
Net PPE purchase and sale
-10.26%-22.15B
-45.74%-20.09B
-3.05%-13.78B
3.24%-13.37B
-3,059.74%-13.82B
149.73%467M
156.16%187M
-78.27%73M
-36.36%336M
--528M
Net business purchase and sale
91.27%-833M
-991.76%-9.54B
-5,926.67%-874M
104.20%15M
---357M
--0
235.79%387M
50.26%-285M
43.71%-573M
---1.02B
Net other investing changes
32.15%-1.51B
-319.06%-2.22B
-941.27%-530M
144.37%63M
89.94%-142M
-25.76%-1.41B
12.21%-1.12B
-144.83%-1.28B
13.14%-522M
-475.63%-601M
Cash from discontinued investing activities
Investing cash flow
22.40%-20.72B
-123.20%-26.7B
-32.98%-11.96B
1.82%-9B
18.09%-9.16B
-31.22%-11.19B
30.09%-8.53B
10.86%-12.2B
-4.18%-13.68B
-40.06%-13.13B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-145.53%-3.52B
773.67%7.73B
70.38%-1.15B
-252.20%-3.87B
23.86%2.54B
101.97%2.05B
-58.18%1.02B
-12.68%2.43B
-75.49%2.79B
608.32%11.36B
Net common stock issuance
-148.15%-335M
68.82%-135M
10.72%-433M
-9.48%-485M
-25.85%-443M
-30.86%-352M
-100.75%-269M
19.76%-134M
0.60%-167M
50.88%-168M
Cash dividends paid
5.80%-12.37B
7.30%-13.14B
-1.62%-14.17B
2.88%-13.94B
-2.72%-14.36B
-7.44%-13.98B
-11.61%-13.01B
0.01%-11.66B
1.20%-11.66B
2.82%-11.8B
Net other financing activities
----
---273M
----
98.83%-24M
40.62%-2.05B
-224.51%-3.45B
1,054.17%2.77B
286.05%240M
94.99%-129M
---2.58B
Cash from discontinued financing activities
Financing cash flow
-119.14%-25.7B
42.97%-11.73B
12.82%-20.56B
-18.85%-23.59B
-2.43%-19.85B
-48.29%-19.38B
-9.72%-13.07B
-2.28%-11.91B
-130.89%-11.64B
65.74%-5.04B
Net cash flow
Beginning cash position
24.46%20.73B
9.53%16.66B
-6.07%15.21B
46.31%16.19B
-11.74%11.07B
41.31%12.54B
14.48%8.87B
-12.62%7.75B
53.14%8.87B
-6.40%5.79B
Current changes in cash
2.74%2.59B
68.00%2.52B
93.30%1.5B
-79.70%776M
251.41%3.82B
-155.96%-2.53B
175.79%4.51B
266.94%1.64B
-132.18%-980M
720.16%3.05B
Effect of exchange rate changes
-216.42%-1.81B
3,145.10%1.55B
97.10%-51M
-235.02%-1.76B
23.65%1.3B
224.32%1.05B
-64.79%-847M
-269.78%-514M
-521.21%-139M
-65.26%33M
End cash Position
3.77%21.51B
24.45%20.73B
9.53%16.66B
-6.07%15.21B
46.31%16.19B
-11.74%11.07B
41.31%12.54B
14.48%8.87B
-12.62%7.75B
53.14%8.87B
Free cash flow
28.45%26.69B
2.93%20.78B
1.34%20.19B
5.14%19.92B
31.67%18.94B
-5.84%14.39B
8.75%15.28B
30.36%14.05B
28.18%10.78B
-40.23%8.41B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(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 12.46%28.12B1.81%25.01B3.29%24.56B3.14%23.78B4.39%23.06B-0.02%22.09B14.90%22.09B2.04%19.23B5.56%18.84B--17.85B
Other non cash items 43.46%6.76B28.22%4.71B7.36%3.68B-10.35%3.42B60.56%3.82B12.81%2.38B3.28%2.11B19.15%2.04B8.97%1.71B--1.57B
Change In working capital -108.37%-194M6,167.57%2.32B-85.71%37M-42.95%259M21.39%454M132.08%374M-915.38%-1.17B113.38%143M27.87%-1.07B---1.48B
-Change in receivables -8.96%-5.21B-221.47%-4.78B42.16%-1.49B-54.02%-2.57B-52.05%-1.67B43.69%-1.1B-8.64%-1.95B26.18%-1.79B-421.24%-2.43B---466M
-Change in inventory -197.17%-315M82.15%-106M-455.69%-594M203.64%167M132.35%55M-1,407.69%-170M-96.56%13M179.08%378M-323.01%-478M---113M
Cash from discontinued investing activities
Operating cash flow 19.68%49.01B20.35%40.95B2.00%34.03B1.61%33.36B17.10%32.83B7.41%28.04B1.42%26.11B5.73%25.74B14.73%24.34B-10.10%21.22B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported ---------------------26.12%-13.65B7.39%-10.83B13.83%-11.69B-5.89%-13.57B-34.35%-12.81B
Net PPE purchase and sale -10.26%-22.15B-45.74%-20.09B-3.05%-13.78B3.24%-13.37B-3,059.74%-13.82B149.73%467M156.16%187M-78.27%73M-36.36%336M--528M
Net business purchase and sale 91.27%-833M-991.76%-9.54B-5,926.67%-874M104.20%15M---357M--0235.79%387M50.26%-285M43.71%-573M---1.02B
Net other investing changes 32.15%-1.51B-319.06%-2.22B-941.27%-530M144.37%63M89.94%-142M-25.76%-1.41B12.21%-1.12B-144.83%-1.28B13.14%-522M-475.63%-601M
Cash from discontinued investing activities
Investing cash flow 22.40%-20.72B-123.20%-26.7B-32.98%-11.96B1.82%-9B18.09%-9.16B-31.22%-11.19B30.09%-8.53B10.86%-12.2B-4.18%-13.68B-40.06%-13.13B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -145.53%-3.52B773.67%7.73B70.38%-1.15B-252.20%-3.87B23.86%2.54B101.97%2.05B-58.18%1.02B-12.68%2.43B-75.49%2.79B608.32%11.36B
Net common stock issuance -148.15%-335M68.82%-135M10.72%-433M-9.48%-485M-25.85%-443M-30.86%-352M-100.75%-269M19.76%-134M0.60%-167M50.88%-168M
Cash dividends paid 5.80%-12.37B7.30%-13.14B-1.62%-14.17B2.88%-13.94B-2.72%-14.36B-7.44%-13.98B-11.61%-13.01B0.01%-11.66B1.20%-11.66B2.82%-11.8B
Net other financing activities -------273M----98.83%-24M40.62%-2.05B-224.51%-3.45B1,054.17%2.77B286.05%240M94.99%-129M---2.58B
Cash from discontinued financing activities
Financing cash flow -119.14%-25.7B42.97%-11.73B12.82%-20.56B-18.85%-23.59B-2.43%-19.85B-48.29%-19.38B-9.72%-13.07B-2.28%-11.91B-130.89%-11.64B65.74%-5.04B
Net cash flow
Beginning cash position 24.46%20.73B9.53%16.66B-6.07%15.21B46.31%16.19B-11.74%11.07B41.31%12.54B14.48%8.87B-12.62%7.75B53.14%8.87B-6.40%5.79B
Current changes in cash 2.74%2.59B68.00%2.52B93.30%1.5B-79.70%776M251.41%3.82B-155.96%-2.53B175.79%4.51B266.94%1.64B-132.18%-980M720.16%3.05B
Effect of exchange rate changes -216.42%-1.81B3,145.10%1.55B97.10%-51M-235.02%-1.76B23.65%1.3B224.32%1.05B-64.79%-847M-269.78%-514M-521.21%-139M-65.26%33M
End cash Position 3.77%21.51B24.45%20.73B9.53%16.66B-6.07%15.21B46.31%16.19B-11.74%11.07B41.31%12.54B14.48%8.87B-12.62%7.75B53.14%8.87B
Free cash flow 28.45%26.69B2.93%20.78B1.34%20.19B5.14%19.92B31.67%18.94B-5.84%14.39B8.75%15.28B30.36%14.05B28.18%10.78B-40.23%8.41B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
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