Corient Private Wealth LLC lowered its holdings in shares of Vodafone Group Public Limited (NASDAQ:VOD – Free Report) by 37.6% in the fourth quarter, according to the company in its most recent Form 13F filing with the Securities and Exchange Commission. The fund owned 34,436 shares of the cell phone carrier’s stock after selling 20,790 shares during the period. Corient Private Wealth LLC’s holdings in Vodafone Group Public were worth $292,000 at the end of the most recent reporting period.
Other institutional investors and hedge funds also recently modified their holdings of the company. Charles Schwab Investment Management Inc. lifted its stake in Vodafone Group Public by 25.4% in the 3rd quarter. Charles Schwab Investment Management Inc. now owns 157,023 shares of the cell phone carrier’s stock valued at $1,573,000 after buying an additional 31,827 shares in the last quarter. Cerity Partners LLC lifted its position in shares of Vodafone Group Public by 178.6% in the third quarter. Cerity Partners LLC now owns 93,596 shares of the cell phone carrier’s stock valued at $938,000 after acquiring an additional 59,998 shares in the last quarter. Fisher Asset Management LLC purchased a new stake in Vodafone Group Public during the 3rd quarter worth about $171,000. FMR LLC raised its stake in Vodafone Group Public by 12.4% in the 3rd quarter. FMR LLC now owns 1,835,411 shares of the cell phone carrier’s stock valued at $18,391,000 after purchasing an additional 202,339 shares during the last quarter. Finally, Townsquare Capital LLC lifted its holdings in Vodafone Group Public by 58.2% in the 3rd quarter. Townsquare Capital LLC now owns 44,431 shares of the cell phone carrier’s stock valued at $445,000 after purchasing an additional 16,345 shares in the last quarter. Hedge funds and other institutional investors own 7.84% of the company’s stock.
Vodafone Group Public Stock Down 0.8 %
Shares of VOD opened at $9.37 on Tuesday. The firm has a market cap of $22.18 billion, a PE ratio of 8.22, a price-to-earnings-growth ratio of 0.66 and a beta of 0.75. The company has a quick ratio of 1.34, a current ratio of 1.37 and a debt-to-equity ratio of 0.78. The company’s fifty day moving average is $8.87 and its two-hundred day moving average is $9.03. Vodafone Group Public Limited has a fifty-two week low of $8.00 and a fifty-two week high of $10.39.
Analysts Set New Price Targets
Check Out Our Latest Stock Analysis on VOD
Vodafone Group Public Company Profile
Vodafone Group Public Limited Company provides telecommunication services in Europe and internationally. It offers mobile connectivity services comprising end-to-end services for mobile voice and data, messaging, device management, BYOx, and telecoms management, as well as professional and consulting services; and fixed line connectivity, such as fixed voice and data, broadband, software-defined networks, managed WAN, LAN, ethernet, and satellite; and financial services, as well as business and merchant services.
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