Vodafone Q1 FY26 Trading Update

Appendix ⫶ ESG reporting and performance

Extensive suite of ESG disclosures

Strong ESG performance

Annual Report ⫶ vodafone.com/ar2025

ESG Addendum ⫶ investors.vodafone.com/esgaddendum • >1,200 datapoints, covering >300 indicators, in spreadsheet format • Includes GRI Standards index

ESG Ratings ⫶ investors.vodafone.com/esg-ratings

• Integrated reporting covering ESG strategy & performance • Complimented by six videos on key ESG topics

MSCI ESG Rating 1,2 “AA”

Sustainalytics ESG Risk Rating 1, 3 “Low risk” Top 3% in sector

Board conversations ⫶ investors.vodafone.com/videos • Fourteen videos with Chair

ESG A-Z ⫶ investors.vodafone.com/esga-z

• >30 links to supporting disclosures, reports & policies • Categorised by E, S or G & searchable

and Committee chairs • Introductions to new Non-Executive Directors

ISS ESG Corporate Rating 1 “B - ” Top 6% in sector

Refinitiv ESG score 1 “84/100” #2 in sector CDP Climate Change 1 “A” Leadership band

TCFD ⫶ investors.vodafone.com/tcfd

SASB ⫶ investors.vodafone.com/sasb

• Aligning to TCFD framework since 2019 • Fully or partially consistent with all 11 TCFD recommendations

• Seven disclosure topics • Includes additional information beyond what is required in the SASB Standards

1. Unless otherwise stated, ESG ratings and relative position within sector as at 19 th May 2025. See additional disclaimers on page 39. 2. In 2025, Vodafone Group Plc received an ESG rating of AA (on a scale of AAA-CCC) in MSCI ESG Ratings assessment.

3. In 2025, Vodafone Group Plc received an ESG Risk Rating of 13.2 and was assessed by Sustainalytics to be at low risk of experiencing material financial impacts from ESG factors. 4. In 2025, Vodafone Group Plc received an ESG score of 84/100 in Refinitiv Rating assessment, placing Vodafone Group #2 in the sector.

Q1 FY26 Trading Update ⫶ July 2025

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