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Bonds outstanding

Bonds outstanding (EU and US)

Debt issuance programme

We have three bond programmes to meet our medium to long-term funding requirements; two €30 billion euro medium-term note (EMTN) programmes and a US shelf programme.

European shelf programme

Bonds are issued by Vodafone Group PLC and Vodafone International Financing DAC.

Issuers Vodafone Group Plc Vodafone International Financing DAC
Programme value € 30,000,000,000 € 30,000,000,000
Arranger NatWest Markets NatWest Markets
Dealers BBVA, Barclays, BNP PARIBAS, BofA Securities, Citigroup,  Deutsche Bank, Goldman Sachs International, HSBC, IMI – Intesa Sanpaolo, ING, J.P. Morgan, Mizuho Securities, Morgan Stanley, NatWest Markets, RBC Capital Markets, Santander Corporate & Investment Banking, SMBC Nikko, Societe Generale Corporate & Investment Banking, Standard Chartered Bank, TD Securities, UBS Investment Bank, UniCredit NatWest Markets
Issuances Public syndicated issuances and private placements Public syndicated issuances and private placements
Paying agent HSBC HSBC

VGPlc Articles of Association (PDF 1.47mb) Vodafone International Financing DAC Memorandum of Association (PDF 1.96mb)
VG Plc Agency Agreement (PDF 1.51mb) Vodafone International Financing DAC Agency Agreement (PDF 1.38mb)
VG Plc EMTN Prospectus (PDF 1.68mb) Vodafone International Financing DAC EMTN Prospectus (PDF 1.25mb)
VG Plc Trust Deed (PDF 1.78mb) Vodafone International Financing DAC Trust Deed (PDF 1.60mb)
Vodafone International Financing DAC FY23 Financial Statements (PDF 393kb)

EMTN bonds - €30bn programme

Bond ISIN Currency Volume Minimum Denomination Coupon Coupon Frequency Maturity Final Terms

VG CHF350m 0.38%

CH0325429188

CHF

350,000,000

5,000

0.375

Annual

03/12/2024

VG €1bn 1.88%

XS1109802568

EUR

1,000,000,000

100,000

1.875

Annual

11/09/2025

VG €1bn 1.125%

XS1721423462

EUR

1,000,000,000

100,000

1.125

Annual

20/11/2025

VG NOK850m 3.22%

XS1325859897

NOK

850,000,000

1,000,000

3.215

Annual

27/11/2025

VG £249.9m 5.63%

XS0181816652

GBP

249,998,000

1,000

5.625

Annual

04/12/2025

VG €1.75bn 2.2%

XS1372839214

EUR

1,750,000,000

100,000

2.2

Annual

25/08/2026

VG EUR 0.75bn 0.9%

XS2002017361

EUR

750,000,000

1,000

0.90

Annual

24/11/2026

VG HKD 455m 2.85%

XS1634541574

HKD

455,000,000.00

1,000,000.00

2.850

Annual

28/06/2027

VG EUR 500m 1.50%

XS1652855815

EUR

500,000,000.00

100,000.00

1.500

Annual

24/07/2027

VG HKD 1.15bn 2.64%

XS1684379602

HKD

1,115,000,000

1,000,000

2.64

Annual

13/09/2027

VG AUD 450m 4.2%

AU3CB0249373

AUD

450,000,000

10,000

4.20

Semi Annual

13/12/2027

VG €186m 0%

XS0401837280

EUR

186,350,000

50,000

Zero Coupon

Zero

01/12/2028

VIFD €650m 3.25%

XS2560495462

EUR

650,000,000

100,000

3.25

Annual

02/03/2029

VG €750m 1.875%

XS1721422068

EUR

750,000,000

100,000

1.875

Annual

20/11/2029

VG €1bn 1.625%

XS2002018500

EUR

1,000,000,000

100,000

1.625

Annual

24/11/2030

VG EUR 150m 1.60%

XS1652856540

EUR

150,000,000.00

100,000.00

1.600

Annual

29/07/2031

VG €1bn 1.6%

XS1463101680

EUR

1,000,000,000

100,000

1.6

Annual

29/07/2031

VG CHF150m 0.5%

CH0337829268

CHF

150,000,000

5,000

0.5

Annual

19/09/2031

VG HKD 550m 3.02%

XS1629149524

HKD

550,000,000.00

1,000,000.00

3.020

Annual

16/06/2032

VG £450m 5.9%

XS0158715713

GBP

450,000,000

1,000

5.9

Annual

26/11/2032

VIFD €600m 3.375%

XS2872349613

EUR

600,000,000

100,000

3.375

Annual

01/08/2033

VG €331.5m 2.75%

XS1143270343

EUR

331,500,000

100,000

2.75

Annual

01/12/2034

VIFD €650m 3.75%

XS2560495116

EUR

650,000,000

100,000

3.75

Annual

02/12/2034

VG JPY 10bn 1.20%

XS1641105918

JPY

10,000,000,000.00

100,000,000.00

1.200

Semi Annual

10/07/2037

VG €750m 2.875%

XS1721422902

EUR

750,000,000

100,000

2.875

Annual

20/11/2037

VG €750m 2.5%

XS2002019060

EUR

750,000,000

100,000

2.5

Annual

24/05/2039

VIFD €500m 4.0%

XS586851300

EUR

500,000,000

100,000

4.00

Annual

10/02/2043

VG $186m 5.35%

XS1325769716

USD

186,000,000

250,000

5.35

Annual

03/12/2045

VG $45m 4.6%

XS1463155348

USD

45,000,000

500,000

4.6

Semi Annual

09/08/2046

VG £800m 3.38%

XS1468494239

GBP

800,000,000

100,000

3.375

Annual

08/08/2049

VG £600m 5.125%

XS2560496197

GBP

600,000,000

100,000

5.125

Annual

02/12/2052

VG £1bn 3%

XS1472483772

GBP

1,000,000,000

100,000

3

Annual

12/08/2056

US shelf programme

All bonds issued by Vodafone Group Plc off the US shelf programme are listed on NASDAQ.

Issuers Vodafone Group Plc
Paying agent BNY Mellon

 

Bond CUSIP Currency Volume Minimum Denominations Coupon Coupon Frequency Maturity Final Terms

VG $1.5bn 4.125%

92857WBJ8

USD

1,500,000,000

1,000

4.125

S/A

30/05/2025

VG $3bn 4.375%

92857WBK5

USD

3,000,000,000

1,000

4.375

S/A

30/05/2028

VG $750m 7.88%

92857TAH0

USD

750,000,000

1,000

7.875

Semi Annual

15/02/2030

VG $495m 6.25%

92857WAB6

USD

495,000,000

1,000

6.25

Semi Annual

30/11/2032

VG $1.7bn 6.15%

92857WAQ3

USD

1,700,000,000

1,000

6.15

Semi Annual

27/02/2037

VG $1bn 5%

92857WBL3

USD

1,000,000,000

1,000

5.000

S/A

30/05/2038

VG $1.4bn 4.38%

92857WBD1

USD

1,400,000,000

1,000

4.375

Semi Annual

19/02/2043

VG $3bn 5.25%

92857WBM1

USD

3,000,000,000

1,000

5.250

S/A

30/05/2048

VG $1.75bn 4.875%

92857WBS89

USD

1,750,000,000

1,000

4.875

Semi Annual

19/06/2049

VG $1.5bn 4.25%

92857WBU36

USD

1,500,000,000

1,000

4.25

Semi Annual

17/09/2050

VG $700m 5.625%

92857WBY5

USD

700,000,000

1,000

5.625

Semi Annual

10/02/2053

VG $2bn 5.750%

US92857WCA62

USD

2,000,000,000

1,000

5.750

Semi Annual

28/06/2054

VG $500m 5.125%

92857WBT62

USD

500,000,000

1,000

5.125

Semi Annual

19/06/2059

VG $500m 5.75%

92857WBZ2

USD

500,000,000

1,000

5.75

Semi Annual

10/02/2063

VG $1bn 5.875%

US92857WCB46

USD

1,000,000,000

1,000

5.875

Semi Annual

28/06/2064

 

Hybrid Bonds

Bond

ISIN

Currency

Volume

Minimum Denomination

Coupon

Frequency

Maturity

Next Call Date

Final Terms

VG £0.5bn 4.875%

XS1888180996

GBP

500,000,000 

100,000 

4.8750 

Annual

03/10/2078

03/07/2025

VG €0.5bn 4.2%

XS1888179550

EUR

500,000,000 

100,000 

4.2000 

Annual

03/10/2078

03/07/2028

VG $2.0bn 7.00%

US92857WBQ24

USD

2,000,000,000 

1,000 

7.0000 

Annual

04/04/2079

04/01/2029

VG €1.0bn 3.00%

XS2225204010

EUR

1,000,000,000 

100,000 

3.0000 

Annual

27/08/2080

27/05/2030

VG €1.0bn 2.625%

XS2225157424

EUR

1,000,000,000 

100,000 

2.6250 

Annual

27/08/2080

27/05/2026

VG $0.5bn 3.25%

US92857WBV19

USD

500,000,000

1,000

3.250

Semi Annual

04/06/2081

04/06/2026

VG $1.0bn 4.125%

US92857WBW91

USD

1,000,000,000

1,000

4.125

Semi Annual

04/06/2081

04/03/2031

VG $0.95bn 5.125%

US92857WBX74

USD

950,000,000

1,000

5.125

Semi Annual

04/06/2081

04/12/2050

VG €750m 6.50%

XS2630490717 EUR 750,000,000 100,000 6.5 Annual 30/08/2084 30/05/2029
VG £500m 8.00% XS2630493570 GBP 500,000,000 100,000 8 Annual 30/08/2086 30/05/2031