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Communication Services
Vodafone Group Plc holds an AlphaScore of 62/100 within the Communication Services sector as of the 2026-10-11 snapshot. Underlying figures show a balanced debt-to-equity ratio of 1.00 and a dividend payout of 3.26. A distinct strength is its high value subscore of 95/100, indicating attractive pricing valuation. On the risk side, the company exhibits a negative net margin of -0.98% and a low return on equity (ROE) of 0.11%.
Written 11/10/2026, 00:34:47 UTC · Snapshot 11/10/2026