VOD Relative Valuation
VOD's fair value is calculated using relative valuation, based on historical P/E and P/S ranges and their premiums/discounts relative to a competitor average, adjusted by weights. If the market price exceeds this fair value range, VOD is overvalued; if below, it's undervalued.
Historical Valuation
Vodafone Group PLC (VOD) is now in the Fair zone, suggesting that its current forward PE ratio of 12.34 is considered Fairly compared with the five-year average of 11.75. The fair price of Vodafone Group PLC (VOD) is between 11.97 to 16.79 according to relative valuation methord.
Relative Value
Fair Zone
11.97-16.79
Current Price:13.82
Fair
12.34
PE
1Y
3Y
5Y
6.07
EV/EBITDA
Vodafone Group PLC. (VOD) has a current EV/EBITDA of 6.07. The 5-year average EV/EBITDA is 6.32. The thresholds are as follows: Strongly Undervalued below 5.27, Undervalued between 5.27 and 5.80, Fairly Valued between 6.85 and 5.80, Overvalued between 6.85 and 7.38, and Strongly Overvalued above 7.38. The current Forward EV/EBITDA of 6.07 falls within the Historic Trend Line -Fairly Valued range.
15.88
EV/EBIT
Vodafone Group PLC. (VOD) has a current EV/EBIT of 15.88. The 5-year average EV/EBIT is 16.46. The thresholds are as follows: Strongly Undervalued below 13.92, Undervalued between 13.92 and 15.19, Fairly Valued between 17.73 and 15.19, Overvalued between 17.73 and 19.00, and Strongly Overvalued above 19.00. The current Forward EV/EBIT of 15.88 falls within the Historic Trend Line -Fairly Valued range.
0.65
PS
Vodafone Group PLC. (VOD) has a current PS of 0.65. The 5-year average PS is 0.69. The thresholds are as follows: Strongly Undervalued below 0.39, Undervalued between 0.39 and 0.54, Fairly Valued between 0.84 and 0.54, Overvalued between 0.84 and 0.99, and Strongly Overvalued above 0.99. The current Forward PS of 0.65 falls within the Historic Trend Line -Fairly Valued range.
2.69
P/OCF
Vodafone Group PLC. (VOD) has a current P/OCF of 2.69. The 5-year average P/OCF is 2.39. The thresholds are as follows: Strongly Undervalued below 1.82, Undervalued between 1.82 and 2.10, Fairly Valued between 2.67 and 2.10, Overvalued between 2.67 and 2.95, and Strongly Overvalued above 2.95. The current Forward P/OCF of 2.69 falls within the Overvalued range.
11.93
P/FCF
Vodafone Group PLC. (VOD) has a current P/FCF of 11.93. The 5-year average P/FCF is 8.39. The thresholds are as follows: Strongly Undervalued below 5.69, Undervalued between 5.69 and 7.04, Fairly Valued between 9.74 and 7.04, Overvalued between 9.74 and 11.09, and Strongly Overvalued above 11.09. The current Forward P/FCF of 11.93 falls within the Strongly Overvalued range.
Vodafone Group PLC (VOD) has a current Price-to-Book (P/B) ratio of 0.53. Compared to its 3-year average P/B ratio of 1.21 , the current P/B ratio is approximately -56.36% higher. Relative to its 5-year average P/B ratio of 1.01, the current P/B ratio is about -47.80% higher. Vodafone Group PLC (VOD) has a Forward Free Cash Flow (FCF) yield of approximately 38.17%. Compared to its 3-year average FCF yield of 51.20%, the current FCF yield is approximately -25.45% lower. Relative to its 5-year average FCF yield of 43.44% , the current FCF yield is about -12.13% lower.
0.53
P/B
Median3y
1.21
Median5y
1.01
38.17
FCF Yield
Median3y
51.20
Median5y
43.44
Competitors Valuation Multiple
The average P/S ratio for VOD's competitors is 7.85, providing a benchmark for relative valuation. Vodafone Group PLC Corp (VOD) exhibits a P/S ratio of 0.65, which is -91.71% above the industry average. Given its robust revenue growth of %, this premium appears unsustainable.
Performance Decomposition
1Y
3Y
5Y
Market capitalization of VOD increased by 0.00% over the past 1 year. The primary factor behind the change was an decrease in Unknown from 0.00 to 0.00.
The secondary factor is the Unknown, contributed 0.00%to the performance.
Overall, the performance of VOD in the past 1 year is driven by Unknown.
People Also Watch
Frequently Asked Questions
Is Vodafone Group PLC (VOD) currently overvalued or undervalued?
Vodafone Group PLC (VOD) is now in the Fair zone, suggesting that its current forward PE ratio of 12.34 is considered Fairly compared with the five-year average of 11.75. The fair price of Vodafone Group PLC (VOD) is between 11.97 to 16.79 according to relative valuation methord.
What is Vodafone Group PLC (VOD) fair value?
VOD's fair value is calculated using relative valuation, based on historical P/E and P/S ranges and their premiums/discounts relative to a competitor average , adjusted by weights. The fair price of Vodafone Group PLC (VOD) is between 11.97 to 16.79 according to relative valuation methord.
How does VOD's valuation metrics compare to the industry average?
The average P/S ratio for VOD's competitors is 7.85, providing a benchmark for relative valuation. Vodafone Group PLC Corp (VOD) exhibits a P/S ratio of 0.65, which is -91.71% above the industry average. Given its robust revenue growth of %, this premium appears unsustainable.
What is the current P/B ratio for Vodafone Group PLC (VOD) as of Jan 09 2026?
As of Jan 09 2026, Vodafone Group PLC (VOD) has a P/B ratio of 0.53. This indicates that the market values VOD at 0.53 times its book value.
What is the current FCF Yield for Vodafone Group PLC (VOD) as of Jan 09 2026?
As of Jan 09 2026, Vodafone Group PLC (VOD) has a FCF Yield of 38.17%. This means that for every dollar of Vodafone Group PLC’s market capitalization, the company generates 38.17 cents in free cash flow.
What is the current Forward P/E ratio for Vodafone Group PLC (VOD) as of Jan 09 2026?
As of Jan 09 2026, Vodafone Group PLC (VOD) has a Forward P/E ratio of 12.34. This means the market is willing to pay $12.34 for every dollar of Vodafone Group PLC’s expected earnings over the next 12 months.
What is the current Forward P/S ratio for Vodafone Group PLC (VOD) as of Jan 09 2026?
As of Jan 09 2026, Vodafone Group PLC (VOD) has a Forward P/S ratio of 0.65. This means the market is valuing VOD at $0.65 for every dollar of expected revenue over the next 12 months.