Vodafone Group PLC
NASDAQ:VOD
Bankruptcy Probability
Vodafone Group PLC's probability of bankruptcy is 2.6%, pointing to a small but noticeable default risk. The solvency score is 30/100 — a sign of moderate financial strength.
We take all the information about a company's solvency (such as how easily a company can pay interest on its outstanding debt, how much cash it has, the amount of debt, and more) and use it to estimate the probability of bankruptcy.
Solvency Ratios
Solvency Ratios Comparison
Vodafone Group PLC Competitors
| Country | Company | Market Cap | D/E | D/A |
Interest Coverage |
Altman Z-Score |
Quick Ratio |
Current Ratio |
Cash Ratio |
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|---|---|---|---|---|---|---|---|---|---|---|---|
| UK |
|
Vodafone Group PLC
LSE:VOD
|
27.6B GBP |
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| ZA |
V
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Vodacom Group Ltd
JSE:VOD
|
305B ZAR |
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| ZA |
M
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MTN Group Ltd
JSE:MTN
|
356.2B ZAR |
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| US |
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T-Mobile US Inc
NASDAQ:TMUS
|
238.3B USD |
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| CN |
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China Mobile Ltd
SSE:600941
|
1.3T CNY |
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| JP |
|
SoftBank Group Corp
TSE:9984
|
24.7T JPY |
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| IN |
|
Bharti Airtel Ltd
NSE:BHARTIARTL
|
11.3T INR |
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| MX |
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America Movil SAB de CV
BMV:AMXB
|
1.2T MXN |
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| JP |
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SoftBank Corp
TSE:9434
|
10T JPY |
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| JP |
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KDDI Corp
TSE:9433
|
10T JPY |
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| TH |
|
Advanced Info Service PCL
SET:ADVANC
|
1.1T THB |
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Vodafone Group PLC's probability of bankruptcy is 2.6%, pointing to a small but noticeable default risk.
The probability of bankruptcy is estimated using credit risk models that assess its financial health, debt levels, interest coverage, and other solvency indicators.
As of the latest report, Vodafone Group PLC has total debt of 45.5B EUR. This includes both short-term (1.3B EUR) and long-term (44.2B EUR) debt.
You can find a full breakdown on its Balance Sheet.