v3.25.1
Related undertakings - Subsidiaries that have non-controlling interests (Details) - EUR (€)
€ in Millions
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Mar. 31, 2022
Summary comprehensive income information        
Revenue € 37,448 € 36,717 € 37,672  
(Loss)/profit for the financial year (3,746) 1,505 12,335  
Other comprehensive expense 589 (2,223) (767)  
Total comprehensive (expense)/income for the financial year (3,157) (718) 11,568  
Other financial information        
Profit/(loss) for the financial year allocated to non-controlling interests [1] 423 365 497  
Summary financial position information        
Non-current assets 99,901 104,790 124,859  
Total assets 128,521 144,350 155,521  
Non-current liabilities (51,851) (54,082) (58,467)  
Equity shareholders' funds 52,745 59,966 63,399  
Non-controlling interests 1,171 1,032 1,084  
Equity 53,916 60,998 64,483 € 57,638
Statement of cash flows        
Net cash flow from operating activities 15,373 16,557 18,054  
Net cash flow from investing activities 4,759 (6,122) (379)  
Net cashflow from financing activities (15,278) (15,855) (13,430)  
Net cash (outflow)/inflow 4,854 (5,420) 4,245  
Cash and cash equivalents at beginning of period 6,183 11,705    
Exchange gain on cash and cash equivalents (75) (94) 12  
Cash and cash equivalents at end of period 11,001 6,183 11,705  
Vodacom Group Limited [Member]        
Summary comprehensive income information        
Revenue 7,791 7,420    
(Loss)/profit for the financial year 1,058 920    
Other comprehensive expense (121) 217    
Total comprehensive (expense)/income for the financial year 937 1,137    
Other financial information        
Profit/(loss) for the financial year allocated to non-controlling interests 422 368    
Dividends paid to non-controlling interests 249 260    
Summary financial position information        
Non-current assets 8,002 7,517    
Current assets 3,808 3,437    
Total assets 11,810 10,954    
Non-current liabilities (3,535) (3,198)    
Current liabilities (3,802) (3,446)    
Net assets and liabilities 4,473 4,310    
Equity shareholders' funds 3,353 3,275    
Non-controlling interests 1,120 1,035    
Equity 4,473 4,310    
Statement of cash flows        
Net cash flow from operating activities 2,573 2,285    
Net cash flow from investing activities (1,101) (943)    
Net cashflow from financing activities (1,328) (1,276)    
Net cash (outflow)/inflow 144 66    
Cash and cash equivalents at beginning of period 1,052 1,075    
Exchange gain on cash and cash equivalents (8) (89)    
Cash and cash equivalents at end of period € 1,188 € 1,052 € 1,075  
[1] Profit attributable to non-controlling interests derives solely from continuing activities.