Vodafone Group (VOD.L) Seasonality

Recurring seasonal patterns for VOD.L — the calendar windows where Vodafone Group has historically tended to rise or fall, with the win rate (how often it repeated) and average return for each, based on up to 10 years of price history.

Patterns found
534
Bullish windows
0
Bearish windows
12
Best win rate
100%

VOD.L's strongest seasonal patterns

Seasonal windowDirectionAvg returnWin rateHold
May 26 – Jun 25Bearish-3.66%100%30d
May 29 – Jun 19Bearish-3.50%100%21d
May 30 – Jun 20Bearish-3.09%100%21d
Jun 5 – Jun 26Bearish-4.53%90%21d
Jun 4 – Jun 14Bearish-4.45%90%10d
Jun 4 – Jun 25Bearish-4.30%90%21d
May 27 – Jun 26Bearish-4.27%90%30d
Jun 3 – Jun 13Bearish-3.98%90%10d
May 28 – Jun 18Bearish-3.81%90%21d
May 30 – Jun 29Bearish-3.67%90%30d
Sep 2 – Oct 2Bearish-3.54%90%30d
Jun 2 – Jun 12Bearish-3.44%90%10d

Win rate = how often the pattern repeated in the same direction. Average return = the mean move across all analysed years. Past performance does not guarantee future results.

Explore VOD.L seasonality in full

See the seasonal curve chart, filter by win rate and return, and track upcoming windows — free during beta.

What is VOD.L stock seasonality?

Stock seasonality is the tendency of a stock to perform in a similar way during the same period each year. By analysing Vodafone Group's price history across many years, SeasonalityX identifies recurring calendar windows — exact start and end dates — where VOD.L has repeatedly risen (bullish) or fallen (bearish). Each pattern is scored by its win rate and average return so you can judge how reliable and how strong it has been.

Seasonality is one input among many — it works best alongside your own research and risk management. Learn more in our guide to seasonal analysis and the tutorials.

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