38LOW

SDV

SCIDEV FPO [SDV]
SciDev Limited engages in the provision of environmental solutions focused on water intensive industries in Australia, the United States, Asia, and internationally. The company operates in two segments, Chemical Services and Water Technologies. It develops, manufactures, and supplies proprietary chemicals, including natural and synthetic polymers for flocculation, filtration, sludge dewatering, friction reduction, shale inhibition, rheology control, and pipe-on-pipe lubrication applications; flocculants and coagulants; and provides services, such as design and engineering, process optimization, specialty chemical fluid formulations, and application equipment, as well as project management services. The company also offers water treatment technologies comprising water treatment for mobile, temporary, and permanent treatment systems; PFAS treatment solutions; onsite liquid waste treatment services; and water quality monitoring systems. It serves its products to mining and minerals processing, wastewater treatment, construction and infrastructure, oil and gas, and remediation markets. The company was formerly known as Intec Limited and changed its name to SciDev Limited in March 2017. SciDev Limited was incorporated in 1973 and is based in Sydney, Australia.
Basic Materials · ASX Small Cap
$0.2050 +0.0%

Updated 26 Mar 2026 · Scores refresh every scan

Appeared in 2 consecutive scans→ Score +0First seen: 2026-02-27

Score Breakdown

Technical78
Catalyst50
Sentiment50
Fundamental88
Momentum36
Risk Gate50
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Active Signals

Bullish Signals

  • RSI is looking oversold — historically a spot where stocks tend to bounce
  • MACD momentum is picking up steam
  • Stochastic is deep in oversold territory — bounce conditions forming
  • Bollinger Bands are tightening — volatility is coiling up for a potential breakout
  • Sitting near support — this level has held before and could attract buyers again
  • Volume-price trend says buyers are quietly accumulating — price hasn't caught up yet
  • Volatility is contracting — like a spring being compressed, breakouts often follow
  • Strong cash runway (30092 quarters)
  • Low P/S ratio (0.4x)
  • EPS estimates revised upward (+10pts)
  • Near 52-week low (0% of range)
  • Small-cap ($20-100M)
  • CANSLIM I: Institutional ownership (35%)
  • Sentiment is mixed — no strong consensus either way
  • Beneish M-Score -1.59 > -1.78: likely earnings manipulation
  • RBA hiking (-3pts)

Risk Signals

  • Trading below both moving averages — the trend is working against this one
  • Below the 200-day average — the long-term trend is still working against it
  • Piotroski F-Score weak (3/9, low-confidence approx)
  • Negative profit margins (-3%)
  • Not enough chatter to gauge sentiment — defaulting to neutral
  • Long-term momentum is negative — down 34% over the past year
  • The bigger volume days are the down days — volume-weighted momentum is negative (-5.84%/day)
  • Overseas neutral (-1pts, S&P500 neutral, VIX 25)
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Recent Catalysts

NONE Change of Director's Interest Notice
NONE Change of Director's Interest Notices x 3
NONE 1HFY26 Results
LOW 1HFY26 Investor Presentation

Recent ASX Announcements

2026-03-09 Change of Director's Interest Notice
2026-02-27 Change of Director's Interest Notices x 3
2026-02-24 1HFY26 Investor Presentation PRICE SENSITIVE
2026-02-24 1HFY26 Results PRICE SENSITIVE
2026-02-24 Interim Report - 31 December 2025 and Appendix 4D PRICE SENSITIVE

Key Metrics

$39.0M
Market Cap
254K
Avg Volume
0.6x
Vol Ratio
$0.20 — $0.51
52-Week Range
0.1%
Short Interest
N/A
Cash Runway
-6.0%
ROE
-2.9%
Profit Margin

CANSLIM Analysis

FactorRatingDetail
CCurrent EPSfailEPS Growth: 0%
AAnnual EarningsfailCAGR: 0%
NNew Highs / Catalystsneutral
SSupply & DemandneutralFloat: 65%
LLeader vs LaggardlaggardRS: -12
IInstitutional SponsorshippassInst: 35%
MMarket DirectionneutralNeutral

Sector: Basic Materials

Ranked #512 of 558 · Sector avg: 46

View all Basic Materials signals →
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