Vodafone Idea Share: Current Price, Performance, and Future Prospects

Oct 6, 2025 - 14:15
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Vodafone Idea Share: Current Price, Performance, and Future Prospects

Introduction

Vodafone Idea Limited (VIL), one of India’s leading telecom operators, has been a focal point of discussion among investors and market analysts due to its volatile share price movements, high debt levels, and ongoing efforts to regain financial stability. The company, formed through the merger of Vodafone India and Idea Cellular in 2018, has faced a challenging journey since then.

Despite its struggles, Vodafone Idea’s share continues to attract attention in the stock market because of its potential turnaround story, government support, and upcoming 5G initiatives. This article explores the current Vodafone Idea share price, financial performance, recent developments, and investment outlook — with comprehensive tables and lists to make the analysis clear and data-driven.

Vodafone Idea Share Price Today

Latest Stock Market Update

As of October 6, 2025, the Vodafone Idea share price on the National Stock Exchange (NSE) and Bombay Stock Exchange (BSE) is as follows:

Exchange Last Traded Price (₹) Change (₹) % Change Market Cap (₹ Cr)
NSE 18.40 +0.25 +1.38% 89,800
BSE 18.35 +0.22 +1.21% 89,500

The stock has shown resilience in recent months, gaining attention from retail and institutional investors alike.

Company Overview

Particulars Details
Company Name Vodafone Idea Limited (VIL)
Industry Telecommunications
Founded 2018 (Merger of Vodafone India & Idea Cellular)
Headquarters Mumbai, Maharashtra
CEO Akshaya Moondra
Parent Companies Vodafone Group Plc & Aditya Birla Group
Services Mobile Telephony, 4G & 5G Internet, Broadband
Market Presence Pan-India

Vodafone Idea operates under the brand “Vi”, offering prepaid, postpaid, and enterprise mobility services. The company has been focusing heavily on improving its ARPU (Average Revenue Per User) and reducing debt through fundraising initiatives and tariff hikes.

Historical Performance of Vodafone Idea Share

Share Price Movement (Past 12 Months)

Month Average Price (₹) Trend
Jan 2025 12.10 Stable
Mar 2025 13.75 Slight Uptrend
May 2025 15.30 Moderate Growth
Jul 2025 17.25 Bullish Momentum
Sep 2025 18.00 Consolidation
Oct 2025 18.40 Positive Bias

The stock has appreciated nearly 50% in one year, driven by strong investor optimism about its future operational recovery and potential government relief measures.

5-Year Historical Data

Year Closing Price (₹) % Change Major Events
2020 9.50 AGR dues crisis
2021 10.20 +7% Tariff hikes begin
2022 8.70 -15% Debt pressure rises
2023 11.25 +29% Fundraising plans announced
2024 16.50 +46% Market confidence returns

Key Financial Highlights

Financial Metric FY2023-24 FY2022-23 YoY Growth
Total Revenue ₹43,150 Cr ₹41,270 Cr +4.5%
EBITDA ₹16,400 Cr ₹15,650 Cr +4.8%
Net Loss ₹26,200 Cr ₹28,150 Cr -6.9%
ARPU (₹/Month) ₹145 ₹135 +7.4%
Net Debt ₹2.05 Lakh Cr ₹2.10 Lakh Cr -2.3%
Subscribers (Mn) 218 228 -4.3%

Though still reporting losses, the company is gradually improving operational efficiency and reducing debt burdens through internal restructuring and capital infusion.

Major Factors Influencing Vodafone Idea Share Price

Positive Triggers

  1. Government Support: Conversion of interest dues into equity and spectrum relief.

  2. Fundraising Initiatives: Successful FPO and strategic investor talks boost confidence.

  3. Tariff Hikes: Directly improve ARPU and revenue margins.

  4. Network Expansion: Ongoing 4G and upcoming 5G rollout expected to attract new users.

  5. Market Consolidation: Limited competition (Jio, Airtel, Vi) could stabilize the telecom sector.

Risks and Challenges

  1. High Debt Levels: Over ₹2 lakh crore remains a major burden.

  2. Customer Churn: Subscriber base shrinking due to competition.

  3. Delay in 5G Launch: Could affect competitiveness.

  4. Limited Cash Flow: Financial stress impacts capex and growth potential.

  5. Share Dilution: Frequent fundraising dilutes existing shareholder value.

Vodafone Idea’s Strategic Plans for 2025

 Key Focus Areas

Strategy Objective
Fundraising & Debt Reduction Secure new investors to reduce liabilities
5G Network Rollout Expand high-speed coverage in metro cities
ARPU Growth Implement tariff hikes and digital service offerings
Subscriber Retention Improve customer experience and reduce churn
Digital Expansion Launch Vi e-wallet, OTT bundles, and enterprise solutions

These steps aim to strengthen the company’s long-term sustainability and investor trust.

Recent Developments

  • FPO Success (2024): Vodafone Idea’s ₹18,000 crore follow-on public offer (FPO) was oversubscribed, signaling renewed investor confidence.

  • Government Equity Conversion: The Indian government became the largest shareholder by converting dues into equity.

  • 5G Spectrum Trials: Vi conducted successful 5G trials in Mumbai and Pune.

  • Strategic Partnerships: Talks underway with global investors for long-term funding.

  • Operational Upgrades: Focus on network modernization and digital transformation.

Peer Comparison

Company Share Price (₹) Market Cap (₹ Cr) ARPU (₹) Subscribers (Mn)
Reliance Jio 2450 8,30,000 182 440
Bharti Airtel 1260 6,80,000 200 350
Vodafone Idea 18.4 89,800 145 218

Vodafone Idea lags behind its peers in profitability and ARPU, but its low valuation makes it an attractive high-risk, high-reward bet for some investors.

Investment Outlook

Expert Opinions

Brokerage Rating Target Price (₹) Remarks
ICICI Securities Hold 20 Wait for clarity on 5G rollout
Motilal Oswal Neutral 22 Gradual improvement expected
Axis Securities Buy 25 Attractive for long-term investors
HDFC Securities Hold 19 Valuations stretched in short term

Investor Sentiment – In List Form

  • Retail participation remains high due to low stock price.

  • Long-term investors see potential in turnaround strategies.

  • Institutional investors waiting for strong quarterly results.

  • 5G progress and debt restructuring are key catalysts.

  • Overall market sentiment: Cautiously Optimistic.

Key Highlights

Category Details
Current Price ₹18.40 (NSE)
52-Week High ₹19.25
52-Week Low ₹11.50
Market Cap ₹89,800 Cr
Debt Level ₹2.05 Lakh Cr
ARPU ₹145
Subscribers 218 Million
Industry Rank 3rd (after Jio and Airtel)
Outlook Improving but High-Risk

Pros and Cons of Investing in Vodafone Idea

Advantages

  • Backed by Vodafone Group and Aditya Birla Group.

  • Government equity conversion provides financial breathing space.

  • Positive demand outlook for telecom and data consumption.

  • Potential for significant upside if debt is reduced.

Disadvantages

  • High debt-to-equity ratio.

  • Loss-making for several consecutive years.

  • Competition from Airtel and Jio remains intense.

  • Uncertain timeline for 5G monetization.

Conclusion

The Vodafone Idea share represents both risk and opportunity for investors. On one hand, the company’s heavy debt, ongoing losses, and subscriber decline raise concerns. On the other hand, government relief measures, new capital infusion, and a stabilizing telecom market signal a potential turnaround.

For short-term traders, volatility can offer profitable entry and exit points. For long-term investors, the stock could become a multi-bagger — but only if the management successfully executes its 5G rollout, debt reduction, and profitability strategies.