VASA DENTICITY LIMITED·MISCELLANEOUS 53.39·Healthcare Equipment & Supplies Companies

2026-08-21 NSE SME Web
SME₹98.9 K250

Price

395.6

-1.1%
O:400
H:406
L:393
C:395.6

52W Range

322.5635.6
+23%/-38%

Market Cap

₹686.11 Cr

Traded: ₹1.32 Cr (0.19%) 0.0x

Free Float: ₹156.36 Cr (0.84% of FF traded)

Volume · 60D trend

33 K 0.0x

Delivery: % 0.0x

View Delivery Data

Returns

1W:+0% 1M:+0% 3M:+5% 6M:+4% 12M:-33%

Valuation

P/E59.1
P/B3.9
P/S2.3
EV/EBIT93.3

Business Strength

ROE16.8%
ROCE22.9%
OPM3.9%
NPM3.6%

Growth (3Y CAGR)

EPS-42.2%
Sales--
Profit--
3Y Return-3.0%

Balance Sheet

Debt/Equity0.0
Debt0.12 Cr
Pledge0.0%
CWIP/Fixed Asset4.0%

Cash Position

CFO/NP-250.0%
FCF-31 Cr
FCF 3Y Avg-68.8 Cr
Cash/MCap1.0%

Others

Div Yield0.0%
Div Payout0.0%
Cash Conv. Cycle141 days
Tradeable Free Float22.8%

Growth Trends

Metric10Y5Y3Y1YTTMTrend
Sales
--
--
--
--
+18.0%
--
ROE
--
--
+13.0%
--
--
--
Return
--
--
-3.0%
-34.0%
--
Decelerating
Profit
--
--
--
--
-29.0%
--

Quarterly Results

Jun 2026

8 Aug
Rev
83 Cr
+37% YoY+13% QoQ
OPM6.1%
NPM4.9%
PAT
+50% YoY4 Cr
EPS
+44% YoY2.4

Mar 2026

27 May
Rev
73 Cr
+0% YoY+2% QoQ
OPM0.4%
NPM1.7%
PAT
-68% YoY1 Cr
EPS
-70% YoY0.8

Dec 2025

7 Feb
Rev
72 Cr
+15% YoY-1% QoQ
OPM2.4%
NPM1.9%
PAT
-66% YoY1 Cr
EPS
-67% YoY0.8

Sep 2025

PDF
Rev
73 Cr
+23% YoY+21% QoQ
OPM8.0%
NPM6.4%
PAT
-11% YoY5 Cr
EPS
-18% YoY2.8

Jun 2025

PDF
Rev
61 Cr
+13% YoY-17% QoQ
OPM5.0%
NPM4.4%
PAT
-19% YoY3 Cr
EPS
-22% YoY1.6

Mar 2025

PDF
Rev
73 Cr
+28% YoY+16% QoQ
OPM8.8%
NPM5.7%
PAT
-34% YoY4 Cr
EPS
-36% YoY2.5

Dec 2024

PDF
Rev
63 Cr
+71% YoY+6% QoQ
OPM8.8%
NPM6.3%
PAT
+63% YoY4 Cr
EPS
+57% YoY2.4

Sep 2024

PDF
Rev
59 Cr
+46% YoY+11% QoQ
OPM10.8%
NPM9.0%
PAT
+44% YoY5 Cr
EPS
+44% YoY3.4

Jun 2024

PDF
Rev
54 Cr
---6% QoQ
OPM8.6%
NPM6.3%
PAT
--3 Cr
EPS
--2.1

Mar 2024

PDF
Rev
57 Cr
--+55% QoQ
OPM14.3%
NPM11.1%
PAT
--6 Cr
EPS
--4.0

Dec 2023

PDF
Rev
37 Cr
---10% QoQ
OPM9.4%
NPM6.6%
PAT
--2 Cr
EPS
--1.5

Sep 2023

PDF
Rev
41 Cr
----
OPM8.8%
NPM9.2%
PAT
--4 Cr
EPS
--2.3

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity0.00
Interest Coverage-2.5x
Promoter Pledge0.0%
Borrowings0 Cr

Efficiency

Receivable Days16 days
Inventory Days151 days
Payable Days26 days
Cash Conversion cycle141 days

Cash Position

Operating Cash Flow-25 Cr
Investing Cash Flow-4 Cr
Financing Cash Flow30 Cr
Free Cash Flow-31 Cr

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Dec 2025PDF ↗
Sep 2025PDF ↗
Jun 2025PDF ↗
Mar 2025PDF ↗
Dec 2024PDF ↗
Sep 2024PDF ↗
Jun 2024PDF ↗
Mar 2024PDF ↗
Dec 2023PDF ↗
Sep 2023PDF ↗
Sales837372736173635954573741
Expenses787370675767575349493337
Operating Profit502636665834
OPM %6.1%0.4%2.4%8.0%5.0%8.8%8.8%10.8%8.6%14.3%9.4%8.8%
Other Income121110010001
Interest000000000000
Depreciation111001100000
Profit Before Tax522646575834
Tax %21.7%21.9%28.7%23.2%27.3%30.8%27.2%24.4%25.7%23.6%29.5%16.7%
Net Profit411534453624
Exceptional Items------------------------
EPS (Rs)2.40.80.82.81.62.52.43.42.14.01.52.3
Sales Growth (YoY)37.4%0.3%14.8%22.8%13.0%28.1%70.7%45.9%--------
Sales Growth (QoQ)13.5%1.5%-1.1%20.5%-17.1%16.2%5.8%10.9%-6.1%55.0%-9.6%--
OP Growth (YoY)66.4%-95.6%-68.4%-8.8%-34.1%-21.5%59.8%79.3%--------
OP Growth (QoQ)1707.1%-84.0%-70.0%92.1%-52.4%15.6%-13.6%38.8%-43.4%135.3%-3.1%--
Profit Growth (YoY)49.8%-68.2%-65.6%-11.2%-19.1%-33.7%63.1%44.0%--------
EPS Growth (YoY)44.2%-69.6%-67.0%-17.9%-22.2%-36.1%57.2%43.8%--------
EPS Growth (QoQ)209.1%-2.5%-71.3%66.7%-34.8%5.9%-28.7%58.0%-46.5%160.5%-34.8%--
OP Margin6.1%0.4%2.4%8.0%5.0%8.8%8.8%10.8%8.6%14.3%9.4%8.8%
Net Margin4.9%1.7%1.9%6.4%4.4%5.7%6.3%9.0%6.3%11.1%6.6%9.2%
Material Cost %75.0%76.0%72.0%67.0%66.0%67.0%70.0%69.0%77.0%72.0%72.0%78.0%
Employee Cost %7.0%9.0%8.0%8.0%9.0%6.0%6.0%6.0%5.0%4.0%6.0%6.0%
P/S2.282.542.762.89----------------
P/E59.1368.5557.4248.21----------------
P/B3.944.174.524.58----------------

Shareholding Pattern

Shareholders:2.6K (+251.9%)
Current MixJun 2026

Annual Reports

3

2025

2024

2023

Credit Ratings

4
crisilRating update
07 Nov 2025Report
crisilRating update
12 Aug 2025Report
crisilRating update
10 Feb 2025Report
crisilRating update

Concalls

9

Nov 2025

30 Nov 2025

Aug 2025

31 Aug 2025

May 2025

31 May 2025

Mar 2025

31 Mar 2025

Nov 2024

30 Nov 2024

May 2024

31 May 2024

Nov 2023

30 Nov 2023

Nov 2023

30 Nov 2023

Nov 2023

30 Nov 2023

Held by Mutual Funds

1 schemes hold DENTALKART · sorted by weight

#SchemeWeight %
1

WhiteOak Capital ELSS Tax Saver Fund

WhiteOak Capital Mutual Fund

0.42%