B. Riley Wealth Advisors Inc. cut its position in shares of Vodafone Group Public Limited (NASDAQ:VOD – Free Report) by 41.3% during the 2nd quarter, Holdings Channel reports. The firm owned 30,569 shares of the cell phone carrier’s stock after selling 21,523 shares during the quarter. B. Riley Wealth Advisors Inc.’s holdings in Vodafone Group Public were worth $286,000 as of its most recent SEC filing.
A number of other institutional investors have also added to or reduced their stakes in VOD. ACR Alpine Capital Research LLC lifted its position in shares of Vodafone Group Public by 40.4% during the 1st quarter. ACR Alpine Capital Research LLC now owns 21,608,956 shares of the cell phone carrier’s stock worth $192,320,000 after buying an additional 6,216,805 shares in the last quarter. Bank of Montreal Can lifted its holdings in Vodafone Group Public by 445.7% during the second quarter. Bank of Montreal Can now owns 3,805,044 shares of the cell phone carrier’s stock worth $34,055,000 after acquiring an additional 3,107,734 shares during the period. Hsbc Holdings PLC boosted its position in Vodafone Group Public by 345.2% in the second quarter. Hsbc Holdings PLC now owns 3,026,713 shares of the cell phone carrier’s stock worth $26,786,000 after purchasing an additional 2,346,815 shares during the last quarter. Oppenheimer Asset Management Inc. grew its stake in Vodafone Group Public by 20.1% in the 1st quarter. Oppenheimer Asset Management Inc. now owns 4,548,765 shares of the cell phone carrier’s stock valued at $40,484,000 after purchasing an additional 761,624 shares during the period. Finally, Cetera Investment Advisers increased its position in shares of Vodafone Group Public by 163.7% during the 1st quarter. Cetera Investment Advisers now owns 692,886 shares of the cell phone carrier’s stock valued at $6,167,000 after purchasing an additional 430,092 shares during the last quarter. 7.84% of the stock is owned by institutional investors.
Vodafone Group Public Stock Down 0.3 %
Shares of VOD stock opened at $9.66 on Wednesday. The firm’s 50 day moving average is $9.75 and its 200 day moving average is $9.23. Vodafone Group Public Limited has a 12 month low of $8.02 and a 12 month high of $10.39. The company has a debt-to-equity ratio of 0.79, a quick ratio of 1.29 and a current ratio of 1.31.
Analyst Ratings Changes
Read Our Latest Research Report on VOD
Vodafone Group Public 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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