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Vodafone

V2NYSETrackedESG Rated: 2/2 ProvidersCommunication ServicesDiversifiedMSCI: ASustainalytics: 13.2 · Low

Market Quote Unavailable · Potential Inactive / Delisted Ticker

Public exchange feeds are not currently returning active trading data for Vodafone (V2). This company may be delisted, bankrupt, acquired, or halted. To preserve data integrity, prices are never displayed as $0.00. Sourced ESG ratings and sustainability disclosures remain cataloged below.

Coverage
Rated universe Carries an MSCI or Sustainalytics observation.
ESG profile reviewed
Last editorial update to this profile.
Quote
Market data unavailableObservation time is shown beside the price.
Methodology
How we rateProvider ratings are shown separately, never blended.

Market overview

Market data unavailable

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Company Profile & Business Model Overview

Vodafone is a leading company in its sector with strong market presence and growth prospects.

Sustainability Strengths & Catalysts (Pros)

  • Top ESG Performance: Refinitiv score of 86/100 ranking 2nd globally in telecommunications sector
  • Digital Inclusion Leader: Comprehensive programs addressing digital divide and financial inclusion across markets
  • Low ESG Risk: Sustainalytics rating of 16.2 with 15th lowest risk in global telecom industry

Material Risks & Governance Concerns (Cons)

  • Market Maturity: Operating in saturated European markets with limited growth potential
  • Capital Intensity: Heavy infrastructure investments required for 5G rollout and network modernization

Related ESG Peer Equities

Companies in Communication Services evaluated across carbon intensity, social metrics, and board governance.

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ESG & Sustainability Rating Breakdown

Synthesized multi-provider rating across Environmental, Social, and Corporate Governance dimensions.

Audited Methodology

MSCI ESG Rating

A

MSCI ESG industry rating benchmark.

Sustainalytics Risk Score

13.2

Low

Data integrity and methodology

MSCI and Sustainalytics ratings are shown separately with their own observation dates; they are not blended into one score, and providers can disagree. Market quotes are delayed or last-close values, and every snapshot states its source and observation time. Read the full rating methodology.

FAQ

Frequently Asked Questions

Direct answers on sustainability scores, risk methodologies, and peer rankings.

What is Vodafone (V2)'s ESG rating and sustainability score?

Vodafone (V2) currently holds an MSCI ESG rating of A and a Sustainalytics ESG Risk Score of 13.2 (Audited Risk Band). Ratings evaluate environmental emissions, labor standards, board independence, and regulatory compliance.

Is Vodafone considered an ESG leader or laggard in Communication Services?

Vodafone is classified as an Average ESG performer by MSCI with a A rating, indicating performance in line with mainstream sector peers with opportunities for further disclosure and risk management.

What are the main ESG risks and controversies for Vodafone?

Key material risks for Vodafone include: Market Maturity: Operating in saturated European markets with limited growth potential; Capital Intensity: Heavy infrastructure investments required for 5G rollout and network modernization. Investors should evaluate whether corporate mitigation plans adequately address these vulnerabilities.

How does The Impact Investor evaluate ESG stock profiles?

The Impact Investor presents audited third-party ratings from MSCI and Sustainalytics alongside delayed market data and financial fundamentals. We do not blend ratings into proprietary black-box scores, and ratings are never modified by advertising or affiliate relationships.