Delineated as the total market value of all outstanding shares of the company, the current market cap for Vodafone Group Plc is valued at 78.09 B. The prevailing figure will allow the investment community to determine the size of Vodafone Group Plc in contrast to the sales or total assets figures. As a result, investors will be able to comprehend the basic determinant of asset allocation and all sorts of risk-returns parameters for stocks alongside the stock mutual funds. However, it is a general misunderstanding that a higher share price points towards a larger company where stock price might also misrepresent the definite worth of the organization.
*Graph represents Vodafone Group Plc (NASDAQ : VOD) | Monday June 12, 2017
At present, Vodafone Group Plc has a PE ratio of *TBA with a forward P/E of 24.32 *. The PEG holds a value of *TBA * and the P/S ratio is calculated to be 1.46 *, whilst P/B is stated to be 0.98. Vodafone Group Plc grasps an EPS value of -0.89 * displaying an EPS growth of 61.40% * for this year. Accordingly, the company shows a 61.40% EPS growth for the subsequent year and computes the EPS growth for the past five years at -21.50% *. The EPS growth for the next five years accounts to 1.30% *. Sales growth for the last five years strolls at 4.20% *.
The shares outstanding for Vodafone Group Plc is levered at 2743.82 *. The Shares Float shows a value of 2651.97 * and the Insider Ownership illustrates 0.20% *.
Vodafone Group Plc’s ROA is currently valued at *TBA * with a ROI value of -0.90% *. The Current Ratio parades a figure of 1 * and the Quick ratio meanders around 1 *.
Vodafone Group Plc holds a total Debt Equity of 0.58 * with the Long Term Debt/Equity of 0.47 *. The company mirrors a Gross Margin of 27.40% indicating an Operating Profit of *TBA *. As a result, Vodafone Group Plc attained a Profit Margin of *TBA *.
The weekly performance of Vodafone Group Plc is -5.73%, presenting a monthly performance value of 4.90% with the quarterly performance value of 12.62%. Vodafone Group Plc has an annual performance rate of -11.64% *.
Volatility on a weekly basis sums at 0.93% * together with the monthly volatility of 0.90% *. Vodafone Group Plc has a 20-Day Simple Moving Average * and a 200-Day Simple Moving Average of *. The 52-Week High confirms a value of * with the 52-Week Low of *.
Currently, Vodafone Group Plc holds a stock price of 28.46 and exhibits a change in price of -0.77%. It has a target price of 34.11 * and started its journey on 12/16/1988 * (IPO Date).
Disclaimer: Outlined statistics and information communicated in the above editorial are merely a work of the authors. They do not ponder or echo the certified policy or position of any business stakeholders, financial specialists, or economic analysts. Specimens laid down on the editorial above are only cases with information collected from various sources. The authority will not be liable for anyone who makes stock portfolio or financial decisions as per the editorial, which is based only on limited and open source
NASDAQ : VOD