Vodafone Growth rate volatility (2y)
451 %
Last period Growth rate volatility (2y)
-17%
Growth rate volatility (2y) has decreased in 5 years
What is Growth rate volatility (2y) ?
An indicator of the degree of volatility in the growth rate of a company's profit in the medium-term retrospective. A value below the average growth rate for the same period is the benchmark for calculating a company rating in Eyestock model.
See also Vodafone Group
Company Analysis
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Eyestock Rating
VOD.L financial analysis by Eyestock methodology
Valuation
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Statements
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Dividends
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What is Growth rate volatility (2y) ?
An indicator of the degree of volatility in the growth rate of a company's profit in the medium-term retrospective. A value below the average growth rate for the same period is the benchmark for calculating a company rating in Eyestock model.
What is Growth rate volatility (2y) of Vodafone Group ?
Vodafone Group`s Growth rate volatility (2y) for the period ended 2024-03-31 is 451 %