FINAL RESULTS 24 May 2005
INTERIM RESULTS 16 Nov 2004
FINAL RESULTS 25 May 2004
INTERIM RESULTS 18 Nov 2003
FINAL RESULTS 27 May 2003
FINAL RESULTS 28 May 2002
FINAL RESULTS 29 May 2001
FINAL RESULTS 30 May 2000
FINAL RESULTS 08 Jun 1999
FTSE Index
FTSE100
Year End Date
31/03/2005
Final Ex Div Date
01/06/2005
Interim Ex Div Date
24/11/2004
Projected
Rolling
Historic
2000/06
2001/06
2002/06
2003/06
2004/06
2005/06
CURRENT
PER
57.2
42.1
17.3
17.5
12.6
12.4
14.0
Dividend Yield
%
0.50
0.89
1.63
1.39
2.00
3.30
2.82
Dividend Cover
%
3.50
2.67
3.55
4.12
3.97
2.45
2.53
EPS Growth
%
24.20
-19.91
39.43
33.71
4.00
3.31
10.29
Operating Margin
%
32.1
34.1
30.4
30.2
32.0
21.8
21.8
Net Profit Margin
%
6.2
-65.1
-70.7
-32.3
-26.9
-22.1
-22.1
ROCE
%
1.97
10.55
15.45
20.56
30.98
29.83
29.83
ROE
%
1.5
2.7
4.6
6.4
9.2
10.0
10.0
PBV
0.51
0.65
0.46
0.63
0.73
0.91
0.96
PTBV
0.60
2.48
2.23
3.54
4.49
5.68
6.03
PSR
9.18
6.45
2.68
2.73
2.45
2.64
2.80
Gearing
%
4.7
4.6
9.0
10.5
7.6
8.5
8.5
Gearing (Tangible)
%
5.5
17.3
43.8
59.0
46.4
53.0
53.0
EV / Sales
10.21
7.06
3.33
3.28
2.79
2.97
3.13
EV / EBITDA
24.48
15.70
7.69
7.61
6.11
6.65
7.02
PCF
40.6
32.8
9.2
8.6
6.4
7.1
7.5
Price / Free Cash Flow
70.6
-6.0
28.1
19.1
9.5
11.3
12.0
Price / Net Curr Assets
-37.6
18.2
-15.2
-14.6
-43.8
-29.6
-31.4
Price / Net Debt
-10.9
-14.4
-5.1
-6.0
-9.7
-10.7
-11.4
Quick Ratio
0.52
1.40
0.66
0.58
0.84
0.77
0.77
Current Ratio
0.57
1.43
0.70
0.60
0.88
0.79
0.79
Interest Cover
6.30
4.34
8.22
12.21
15.05
18.93
18.93
Cashflow / EPS
3.65
-0.30
-0.41
-0.99
-1.43
-1.69
-1.69
Earnings Quality
0.4
-4.3
-4.6
-2.1
-1.4
-1.1
-1.1
Z Score
4.08
2.31
1.00
1.57
1.43
1.56
1.68
Forecast Chg Week
-0.30%
Forecast Chg Month
-0.72%
Forecast Chg 3 Month
-
Share
Sector
Yield %
2.99
1.16
PER
13.75
38.75
Growth %
3.09
15.43
PEG
4.45
-
Gearing %
8.46
-8.46
Gearing % (Tangible)
52.98
-49.19
Margin %
21.80
2.58
PSR
2.80
4.07
EV / Sales
3.13
3.51
PBV
0.96
2.95
PTBV
6.03
6.03
ROCE %
29.83
16.21
ROE %
9.96
4.90
PCF
7.52
35.26
PFCF
12.02
-71.96
VODAFONE GROUP
DEMO
TELECOMMUNICATIONS SERVICES
Market Capital
£95,651.6m
Num Shares
63,352m
Dividend Cover
2.43
Interest Cover
18.93
Cash Flow / EPS
-1.69
Quick Ratio
0.77
Current Ratio
0.79
"Z" Score
1.68
£m
Intangible Assets
83,464.0
Tangible Assets
18,398.0
Other Non-Current
20,250.0
________
Fixed Assets
122,112.0
Inventory
430.0
Receivables
7,698.0
Cash
2,850.0
Other Current
816.0
________
Current Assets
11,794.0
Current Liabilities
-14,837.0
________
Net Current Assets
-3,043.0
Non-Current Liabilities
-12,382.0
Provisions
-4,552.0
Retained Earnings
-51,688.0
Equity Funds
99,317.0
Minority Funds
2,818.0
Rel Str 1 Month
4.91%
Rel Str 3 Months
0.54%
Rel Str 6 Months
2.15%
Rel Str 1 Year
0.49%
£m
Revenue
34,133.0
Operating Profit
7,440.0
Exceptionals & Goodwill
-14,593.0
Interest
-393.0
Profit Before Tax
-4,702.0
Taxation
-2,236.0
________
Net Profit
-7,540.0
Basic EPS
-11.39p
Adjusted EPS
10.65p
Dividend
4.07p
£m
Operating Cash Flow
14,733.0
Finance Servicing
-391.0
Taxation
-1,616.0
________
Net Cash Flow
12,726.0
Capex
-4,768.0
Acquisitions
-2,017.0
Net Debt
-8,399.0
Depreciation
4,940.0
2003
2004
2005
2006F
2007F
Turnover
£m
30,375.0
33,559.0
34,133.0
Operating Profit
£m
9,181.0
10,749.0
7,440.0
Operating Margin
%
30.2
32.0
21.8
Profit Before Tax
£m
-6,208.0
-5,047.0
-4,702.0
10,722.5
11,488.0
Tax Rate
%
47.6
62.5
47.6
ROCE
%
20.79
32.26
32.52
ROE
%
6.4
9.2
10.0
Basic EPS
p
-14.41
-13.24
-11.39
Adjusted EPS
p
6.97
9.23
10.65
10.98
12.27
EPS Growth
%
33.78
32.42
15.38
3.10
11.75
Cash Flow ps
14.25
18.93
19.22
Capex ps
-7.89
-6.27
-7.20
Div ps
1.69
2.03
4.07
4.51
4.97
Div Growth
%
14.97
20.12
100.49
10.81
10.20
Div Cover
4.13
4.54
2.62
2.44
2.47
Net Cash/Debt
£m
-13,839.0
-8,488.0
-8,399.0
NAV
£m
131,534.0
111,924.0
99,317.0
NTAV
£m
23,449.0
18,302.0
15,853.0
Net Curr Assets
£m
-5,702.0
-1,877.0
-3,043.0
Depreciation
£m
3,979.0
4,362.0
4,940.0
Oper Cash Flow
£m
11,142.0
14,118.0
14,733.0
.
EPIC
Last Updated: Wed 17 Aug 2005
Sector
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Chart
2 Year
1 Year
2 Year