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TickerVOD
SectorTelecommunications Services
Mkt cap$31.6B
EV / EBITDA5.8×
PostureActive Acquirer
Composite47/100
LensBuyer-side
SE-Cluster Research·Issuer Brief·Q2 2026CIK 839923

Vodafone Group Public Ltd. Co.

VODACTIVE ACQUIRERQUIET

Vodafone Group Public Ltd. Co. reads as an Active Acquirer (composite 47/100); Transformational Buyer deploying $29M across 0 disclosed transactions, newly disclosed vs the prior cycle · primary market Connectivity.

Lens

Disclosed M&A capital (2023–2025)

$29M

new

vs N/A in 2020–2022

Disclosed transactions

N/A

flat

1/3 active fiscal years in window

Buyer archetype

Transformational Buyer

Episodic but very large disclosed transactions drive the profile.

Composite score

47

/100

Active Acquirer dominates · Quiet

Financial snapshot
Revenue$71.8B
EBITDA$26.4B
Enterprise value$78.4B
EV / Revenue2.0×
EV / EBITDA5.8×
P/EN/A
CashN/A
Total debtN/A
as of 2026-05-10
§ I·SE-Cluster Issuer Brief

Behavioral posture, nine reads.

Each index scores the issuer 0–100 against an EDGAR-anchored definition. Scores ≥ threshold elevate the issuer into the index's constituent set; the dominant index drives the masthead label.

Active Acquirer

Dominant
47/100

Companies actively deploying disclosed capital into M&A

  • $27.3B disclosed buyer spend

Buyer Cadence

0/100

Buyer-side companies with recent filing activity

Target Probability

8/100

Issuers showing target-side patterns from filings

  • 2 activism filings

Spin/Carve

0/100

Issuers showing spin-off, carve-out, or sum-of-parts posture

  • 2 activism filings

Pressure Watch

22/100

Issuers facing activism, governance, or control pressure

  • 2 activism filings
  • Latest activism 3y ago; discounted
  • Shareholder pressure language

Distress Watch

21/100

Issuers showing financial-distress filing patterns

  • Missing recent 10-Q
  • 2 activism filings

Restatement Risk

0/100

Issuers with accounting-integrity flags from filings

Capital Velocity

22/100

Issuers with the highest filing-activity intensity

Quiet Power

0/100

Large issuers with low signal volume and clean disclosure cadence

  • Enterprise value $78.4B
  • 3 active signals
§ II·SE-Cluster Issuer Brief

Capital cadence.

Ten-year disclosed M&A activity. Bars show spend ($MM); ticks show recorded transaction count. Disclosure tier annotated where v6 audited corpus carries an entry.

16
17
18
19
20
21
22
23
24
25

Disclosed spend $MM Disclosed transactions (right axis)Peak spend year: $58M · Peak count: 1

FYDisclosed buysDisclosed spendAvg ticketAudited tier
2025N/AN/AN/AN/A
2024N/AN/AN/AN/A
2023N/A$29MN/AN/A
2022N/AN/AN/AN/A
2021N/AN/AN/AN/A
2020N/AN/AN/AN/A
§ III·SE-Cluster Issuer Brief

Strategy posture.

The buyer's playbook in terms of strategic archetype: what each disclosed move says about how they're deploying capital.

Archetype mix

  • Horizontal Consolidation
    25%
  • Geographic Expansion
    25%
  • Bolt On
    25%
  • Tuck In
    25%

Strategy keywords

Terms recurring across recent 10-K acquisition disclosures.

  • horizontal_consolidation
  • geographic_expansion
  • bolt_on
  • tuck_in
§ IV·SE-Cluster Issuer Brief

Filing language.

Direct excerpts from acquisition disclosures and strategy sections: the verbs the buyer chose, in the filings they signed.

The primary reason for acquiring the business was to create a leading integrated communications operator in Spain, offering customers unified communication services.

10-KFY2016

The primary reasons for acquiring the business were to strengthen the enterprise business of Vodafone Group in the UK and internationally

10-KFY2013

in line with the Group’s strategy of increasing its shareholding in existing operations

10-KFY2005

increased its interest in its subsidiary undertakings in Japan, Hungary and Greece

10-KFY2005

attractive network and other cost saving opportunities for the Vodafone Group

10-KFY2013
§ V·SE-Cluster Issuer Brief

Market context.

Where this issuer sits inside its SE-Cluster rollup wedge, with disclosed-spend rank plus trading comparables against the public peer set.

Primary market

Connectivity

Market spend (2023–2025)
$58.6B
Market spend (2020–2022)
$121.1B
Recent vs prior
−52%
Issuer rank in market
N/A
Share of market capital
0.0%

Valuation positioning

5.8×EV / EBITDA

VOD trades at a -2.1-turn discount to the Connectivity peer median of 7.9×.

EV / Revenue
2.0×
Net debt / EBITDA
N/A
Peer median EV / EBITDA
7.9×

Trading comparables

FMP market data · 2026-05-10

CompanyEV / EBITDAEV / RevNet debt / EBITDARevenueM&A 2023–2025
23.8×6.8×0.9×$59.1B$26.6B
20.2×6.1×-0.1×$11.9B$4.9B
7.9×2.8×0.4×$139.1B$60M
6.1×2.6×-0.1×$126.5B$3.7B
6.1×2.5×N/A$59.8B$5.1B
Vodafone Group Public Ltd. Co.VOD
5.8×2.0×N/A$71.8B$29M

Trading multiples from FMP market data; disclosed M&A spend from the SE-Cluster EDGAR 10-K corpus. Peer set = top disclosed buyers in Connectivity. Bars scaled to the highest EV/EBITDA in the set.

§ VI·SE-Cluster Issuer Brief

Target landscape.

Public-issuer targets that fit this buyer's archetype and target categories from filing-derived signal. Scores reflect cross-signal fit; reasons cite the EDGAR-anchored facts that drove the match.

No qualifying public-issuer targets surfaced from the current signal mix.

Stated target categories

No target categories enumerated in the audited corpus for this issuer.

§ VII·SE-Cluster Issuer Brief

Filing activity & signal stream.

Filing cadence and event-driven signals visible on EDGAR. The signal stream below is curated from restatement / spin-carve / activism categories, providing context for any near-term call.

Filing cadence

  • 10-K (annual)242025-06-06
  • 10-Q (quarterly)0N/A
  • 8-K (event)0N/A
  • Proxy / DEF 14A0N/A
  • Activism (13D / DFAN / PREC)22023-05-11

Signals on file

  • elevated

    Activism on file

    2023-05-11

    2 activist filings on file (13D, DFAN14A, PREC14A series).

  • info

    Signal

    Serial acquisition history

  • info

    Signal

    10-K strategy themes

  • info

    Signal

    Shareholder pressure

§ VIII·SE-Cluster Issuer Brief

Audited corpus.

No audited record on file for this CIK in the current v6 corpus.

This issuer has not been extracted into the v6 audited acquirer corpus yet. The brief above pulls from ranking-level aggregates and issuer-index signal only.

Vodafone Group Public Ltd. Co.: Issuer Brief | SE-Cluster