As of 2025-06-12, the Fair Value of Vodafone Group PLC (VOD.L) is -330.42 GBP. This value is based on the Peter Lynch's Fair Value formula. With the current market price of 72.36 GBP, the upside of Vodafone Group PLC is -556.64%.
With the market price of 72.36 GBP and our fair value calculation, Vodafone Group PLC (VOD.L) is not a good investment. Investing in VOD.L stocks now will result in a potential loss of 556.64%.
Note: valuation result may not be accurate due to the company's negative EPS.
Peter Lynch's formula is:
The earnings growth rate we use in the formula is the average growth rate of net income/earnings over the last 5 years. If the average growth rate is smaller than 5%, we set it to 5%. If it is larger than 25%, we set it to 25%. If the TTM EPS is negative, Peter Lynch Fair Value's result can be unreliable.
Historical Earnings | ||||||
2021-03-31 | 2022-03-31 | 2023-03-31 | 2024-03-31 | 2025-03-31 | 5Y Avg | |
Net income | 59.00 | 2,237.00 | 11,838.00 | 1,140.00 | -4,169.00 | 2,221.00 |
YoY growth | 106.41% | 3,691.53% | 429.19% | -90.37% | -465.70% | 734.21% |
Market Cap (mil) | 18,760.85 |
P/E | |
Forward P/E |
EPS | -15.69 |
Avg earnings growth rate | 734.21% |
TTM earnings | -4,067.81 |