TEF - Is Vodafone A 'Buy' Following Its FY 2025 Earnings?
2025-05-22 07:45:00 ET
Summary
- Vodafone is a deep value play, trading at historically low valuations despite recent operational improvements and a stronger financial position.
- Germany remains a weak spot due to regulatory changes, but management expects stabilization and a return to growth in FY 2026.
- Strong performance in other regions, robust free cash flow, and a new €2 billion share buyback signal confidence and capital return potential.
- If VOD delivers on its turnaround, especially in Germany, there is significant upside potential, as current market expectations remain conservative.
As I've covered in previous articles , Vodafone ( VOD ) ( VODPF ) has been in restructuring mode for some time and its efforts to improve the company's fundamentals have not been a support for its share price in recent years. As shown in the next graph, its shares are trading near the bottom of its historical range over the past decade, leading to a very low valuation both compared to its peers and its own historical average....
Is Vodafone A 'Buy' Following Its FY 2025 Earnings?