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SDV

Scidev

Materials

SciDev delivers environmental solutions focused on water-intensive industries. They specialize in developing, manufacturing, and supplying chemistries to improve operational efficiency while minimizing wastewater. The company also designs and delivers specialized water treatment solutions to remove harmful contaminants from water, allowing it to be reused or safely discharged.

Short position

short percentage0.00%
reported shorts2.3K
shares on issue190.089M

Scidev (ASX:SDV) has 0.00% of its shares on issue reported as short positions as of 5 Oct 2026, or about 2,319 shares. Over the past 30 days that figure has been broadly flat, and over 90 days it has fallen 0.06 percentage points. Its highest recorded short interest was 0.75% in September 2020. SDV is classified in the Materials industry. All figures come from official ASIC short position reports, published with a four trading-day (T+4) delay.

Price & short interest

Toggle series, zoom, and compare · ASIC daily, T+4

Scidev (SDV) financials

Results, ratios and statements

Latest result

Year to 30 Jun 2026 (FY26) vs FY25, figures in AUD, the reporting currency

Revenue
$85.5M (source: ASX (Markit))vs $103.2M (FY25)
ASX (Markit), as at 29 Sep 2026
NPAT
−$5.8M (source: ASX (Markit))vs −$878.0K (FY25)
ASX (Markit), as at 29 Sep 2026
EPS (diluted)
−$0.030vs −$0.005 (FY25)
Yahoo Finance, as at 29 Sep 2026
Rev YoY
−17.1%FY
EPS YoY
n/aFY
  • ASX (Markit)

Summary of 2026 Annual Report, 29 Sep 2026

SciDev's FY26 revenue was $48.3m from water solutions and $36.6m from energy services, with underlying EBITDA doubling in the second half. No dividend was declared, and the company is focused on a strategic reset after a year that fell short of expectations, with a $4m cost base reduction and $13.8m available liquidity.

Automated summary of the filing; the filing itself is the record.

Key ratios

Year to 30 Jun 2026 (FY); no balance sheet aligned with this period; prices to 9 Oct 2026

Gross margin
31.8%
Operating margin
−3.2%
Net margin
−6.7%
FCF margin
3.5%
ROE
n/a
ROA
n/a
FCF conversion
n/a
Net debt (excl. leases)
n/a
Net debt / EBITDA
n/a
Current ratio
n/a
Interest cover
−5.5×
Cash dividends paid / net profit
n/a
Market cap
n/a (no share count we can vouch for)
P/E
n/a
P/B
n/a (no share count we can vouch for)

Ratios use the reporting currency (AUD); market cap is in AUD. Sources: Yahoo Finance, ASX (Markit) and Derived: trailing 12 months at year end, as at 29 Sep 2026.

Financial statements

Figures in AUD, the reporting currency; Yahoo Finance unless marked

SDV income, newest period first, figures in AUD
Line itemFY26FY25FY24FY23
Revenue$85.5M (source: ASX (Markit))$103.2M$109.1M$89.7M
Gross profit$27.2M (source: Derived: trailing 12 months at year end)$34.4M$34.0M$24.2M
Operating income−$2.8M (source: Derived: trailing 12 months at year end)$2.7M$4.6M$448.0K
EBITDA−$1.1M (source: Derived: trailing 12 months at year end)$6.0M$8.5M$3.6M
EBIT−$5.3M (source: Derived: trailing 12 months at year end)$1.9M$4.4M$61.0K
Interest expense$506.0K (source: Derived: trailing 12 months at year end)$397.0K$301.0K$283.0K
Pretax income−$5.8M (source: Derived: trailing 12 months at year end)$1.5M$4.1M−$222.0K
Tax−$52.0K (source: Derived: trailing 12 months at year end)$2.3M$1.9M$117.0K
NPAT−$5.8M (source: ASX (Markit))−$878.0K$2.2M−$339.0K
Net interest income−$506.0K (source: Derived: trailing 12 months at year end)−$568.0K−$650.0K−$630.0K
EPS basic−$0.030−$0.005$0.011−$0.002
EPS diluted−$0.030−$0.005$0.011−$0.002
Sharesn/a190.1M189.9M189.9M
  • ASX (Markit)
  • Derived: trailing 12 months at year end