In 2018, the collaboration between the Aditya Birla Group and Vodafone Group UK gave rise to Vodafone Idea Limited, a significant player in the telecom industry. This partnership solidified its position as a major service provider, delivering pan-India voice and data services across 2G, 3G, and 4G platforms. The company’s registered office is situated in Gandhinagar, India.
Business Segment
The group operates in a single operating segment:
Geographical Presence
The company has a strong presence in India.
Key stock indicators that show how well a company is doing, making it easier to understand its true value and performance.
Outperformer
Very Expensive
High Price Fluctuation
Analysts are Bullish
Peer comparison lists companies from the same sector, scored and ranked based on Factor Analysis. It helps understand how a company stands against its competitors.
Shareholding pattern shows how a company’s shares (ownership) are distributed among different shareholding entities like promoters, Foreign Institutional Investors (FIIs), Domestic Institutional Investors (DIIs), and retail investors, among others. Changes in the shareholding pattern can indicate the performance outlook of a stock.
Vodafone Idea Ltd. share price is ₹10.76 as of 05/12/2025, 2:48:30 pm. Share/stock prices are volatile and change over the course of a trading day, and may differ basis on exchange (NSE/BSE).
Shareholding pattern gives insights on the concentration of holdings towards various groups of investors. As of last reported quarter for Vodafone Idea Ltd., Promoter held 25.60%, the FII held 6.00%, DII held 53.80%, and the public held 14.70% of the total shares.
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The fair value of Vodafone Idea Ltd. is an estimated price at which buyers and sellers would freely trade their shares. The various ways to determine the fair value of an asset include looking at recent market transactions for similar assets, estimating its expected earnings or the cost of replacing it.
Earnings per share (EPS) measures the profit earned by a company for each of its outstanding shares. Generally, the higher a company’s EPS is, the more profitable it is considered to be.
Also called a profit and loss statement, an income statement shows a company’s income, expenses, and how much profit or loss it has made over a specific accounting period. It provides a clear view of how well the business is running.
A balance sheet is a financial statement that details a company’s assets, liabilities, and shareholders’ equity at a given time. It helps assess how financially strong and stable the company is.
Cash flow highlights the cash or cash equivalents moving in and out of a company during a particular period. It provides a clear picture of how well a company manages its cash by tracking its operating, investing and financing activities.
Pivot analysis uses a special price point, called the pivot point, to show the overall market trend during different periods. This pivot point is the average of the previous day’s high, low, and closing prices of a specific asset.
Note: Support and Resistance level for the day, calculated based on price range of the previous trading day.
Volume analysis tracks how many shares were traded for a specific period. Total traded volume represents the overall number of shares traded, while combined delivery volume indicates only those shares which are delivered (transferred for ownership). Delivered shares indicate long-term investor interest.