Vodafone 2025 Annual Report

128 Vodafone Group Plc Annual Report 2025

Strategic report

Governance

Financials

Other information

Consolidated statement of financial position at 31 March

Re-presented 1 Re-presented 1 31 March 2025 31 March 2024 31 March 2023

Re-presented 1 Re-presented 1 31 March 2025 31 March 2024 31 March 2023

Note

€m

€m

€m

Note

€m

€m

€m

Non-current assets Goodwill Other intangible assets Property, plant and equipment Other investments Deferred tax assets Post employment benefits Trade and other receivables Investments in associates and joint ventures

Equity Called up share capital Additional paid-in capital Treasury shares Accumulated losses

20,514 12,924 30,712 6,892 3,153 19,033 242 27,615 19,592 37,992 11,079 1,093 19,316 329 7,843 99,901 104,790 124,859 6,431 24,956 13,896 28,499 10,032 1,006 20,177 257 5,967

4,319 149,834 (6,791) 28,886 52,745 1,171 53,916 46,096 96 798 187 1,430 97 3,147 51,851 7,047 – 578 1,066 14,063 22,754 – 128,521

4,797 149,253 (7,645) 28,202 59,966 1,032 60,998 49,259 – 699 181 1,615 – 2,328 54,082 7,728 – 13,398 22,352 6,918 144,350 393 833

4,797 149,145 (7,719) 30,262 63,399 1,084 64,483 53,682 – 771 258 1,572 – 2,184 58,467 12,708 18,247 32,571 – 155,521 485 457 674

10 10 11 12 13 25 14 6

17

(123,503) (114,641) (113,086)

Accumulated other comprehensive income Total attributable to owners of the parent Non-controlling interests

Total equity

Current assets Inventory Taxation recoverable Trade and other receivables Other investments Cash and cash equivalents

Non-current liabilities Borrowings Share of net liabilities in joint ventures and associates Deferred tax liabilities Post employment benefits Provisions Non-debt liabilities in respect of written put options Trade and other payables Current liabilities Borrowings Financial liabilities under put option arrangements Taxation liabilities Provisions Trade and other payables Liabilities held for sale Total equity and liabilities

617 174 9,404 7,424 11,001 28,620 –

568 76 8,594 5,092 6,183 20,513 19,047

956 279

21 12 6 25 16 15 21 22 16 15

10,705 7,017 11,705 30,662 –

14 13 19

Assets held for sale Total assets

7

128,521 144,350 155,521

7

Note: 1. On 1 April 2024, the Group adopted amendments to IAS 1 'Presentation of Financial Statements' which has impacted the classification of certain bonds between current borrowings and non-current borrowings. As a result of the reclassification, comparatives at 31 March 2024 and 31 March 2023 have been provided in accordance with IFRS requirements. See note 1 'Basis of preparation' for more information. The consolidated financial statements on pages 127 to 205 were approved by the Board of Directors and authorised for issue on 3 June 2025 and were signed on its behalf by:

Margherita Della Valle Group Chief Executive

Luka Mucic

Group Chief Financial Officer

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