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Back to Yearly Stock Returns Index
Vodafone Group, plc (VOD) Yearly Returns
Stock Performance Guide         
Yearly Stock Returns Index     
     Year
  Beginning Price
  Ending Price
  Gain or Loss
  Percent Gain or Loss
1989
33.75
63.50
29.75
88.15%
1990
63.50
49.75
-13.75
-21.65%
1991
49.75
72.125
22.375
44.97%
1992
72.125
64.75
-7.375
-10.23%
1993
64.75
89.25
24.50
37.84%
1994
89.25
100.875*
11.625
13.03%
1995
33.625
35.25
1.625
4.83%
1996
35.25
41.375
6.125
17.38%
1997
41.375
72.625
31.25
75.53%
1998
72.625
161.125
88.50
121.86%
1999
161.125
247.50*
86.375
53.61%
2000
49.50
35.8125
-13.6875
-27.65%
2001
35.8125
25.68
-10.1325
-28.29%
2002
25.68
18.12
-7.56
-29.44%
2003
18.12
25.04
6.92
38.19%
2004
25.04
27.38
2.34
9.35%
2005
27.38
21.47
-5.91
-21.59%
2006
21.47
27.78
6.31
29.39%
2007
27.78
37.32
9.54
34.34%
2008
37.32
20.44
-16.88
-45.23%
2009
20.44
23.09
2.65
12.96%
2010
23.09
26.44
3.35
14.51%
2011
26.44
28.03
1.59
6.01%
*The 1994 ending price for Vodafone Group has been adj. for a 3 for 1 stock split.
*The 1999 ending price for Vodafone Group has been adj. for a 5 for 1 stock split.