Vasa Denticity Limited - e-commerce in New Delhi, Delhi, India. FY 2026 financials & compliance.
CIN L74999DL2016PLC305052 Incorporated 29 August 2016 ROC Delhi HQ New Delhi, Delhi, India
Active Listed Public Limited Company e-commerce
Data last updated
Market Cap
₹796 Cr
DENTALKART-SM · NSE
Share Price
₹459.00
-0.22% today
Revenue
₹279 Cr
FY 2025-26 · +18.4% YoY
EBITDA
₹10.91 Cr
Margin 3.9%
Net Profit
₹10.23 Cr
FY 2025-26 · -37.5% YoY
P/E (TTM)
68.7x
P/B 4.6x

About Vasa Denticity Limited

Data last updated:

Vasa Denticity Limited is a public limited company based in New Delhi, Delhi, India, recognised as a startup by DPIIT. It specialises in online healthcare product retail, a part of the broader e-commerce sector. Incorporated on 29 August 2016, the company has been in operation for over 10 years.

Registered with ROC Delhi under CIN L74999DL2016PLC305052. Listed.

Capital: an authorised share capital of ₹20 Cr and a paid-up capital of ₹17.49 Cr. It is led by directors including Ravi Kant Jagetiya and Akanksha Aggarwal.

Last AGM: 26 September 2025. Financial statements filed for year ended 31 March 2025. Office: Khasra No. 714 Village P.O. Chattarpur, New Delhi, Delhi, India – 110074.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹278.87 Cr, a growth of 11.83% compared to the previous year. The net worth stands at ₹174 Cr (up 31.31% YoY). Total assets are valued at ₹176.59 Cr (up 31.09% YoY).

The company has a workforce of approximately 94 employees as per the latest available data.

The company is associated with 2 brands - Instadent, Dentalkart. As per MCA filings, the company has open charges of ₹15 Cr and satisfied charges of ₹1.3 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website dentalkart.com.

Company Details of Vasa Denticity Limited
CIN L74999DL2016PLC305052
Registration Number 305052
Incorporation Date 29 August 2016
ROC Delhi
Listing Status Listed
Company Status Active
Date of Last AGM 26 September 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
DPIIT Recognition Recognised Startup
Contact Details
  • Email
    Locked
  • Telephone
    Locked
  • Website
    Locked
  • Social Media
  • Apps
  • Registered Address
    Khasra No. 714 Village P.O. Chattarpur, New Delhi, Delhi, India – 110074
  • Industry
    E-Commerce, Online Healthcare Product Retail
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Financials, compliance, directors, charges, ownership and filings for Vasa Denticity Limited in one report.

10-year financials Directors & ownership Charges & compliance

CIN History of Vasa Denticity

Vasa Denticity has 2 previous CINs, indicating changes in the company's corporate structure or registration details. The current CIN is L74999DL2016PLC305052, which is the unique identifier assigned by the Registrar of Companies.

CINStatus
L74999DL2016PLC305052Current
U74999DL2016PTC305052Previous
U74999DL2016PLC305052Previous

Associated Brands with Vasa Denticity

Vasa Denticity operates two associated brands: InstaDent and DentalKart. Each brand links to its own profile.

BrandDescriptionWebsite
Provides an online procurement platform for dental supplies and equipment.instadent.in
Online marketpalce offering dental supplies for healthcare professionals and individualsdentalkart.com

Competitors & Alternatives of Vasa Denticity

Brands and companies operating in the same space as Vasa Denticity Limited include Prevest DenPro, CureMint, PinkBlue and 6 more.

CompetitorDescriptionLocationFounded
Prevest DenPro Prevest DenPro Dental materials manufacturerJammu, India, India1999
CureMint CureMint Cloud-based procurement platform for dental supplies and resources is provided.Los Angeles, United States, United States2017
PinkBlue PinkBlue Dental supplies are provided online by PinkBlue for healthcare institutions.Bengaluru, India, India2014
Unicorn DenMart Unicorn DenMart Dental equipment and supplies are offered online by Unicorn DenMart.Delhi, India, India2008
DD DD Dental products are supplied via an online platform by DD.Witham, United Kingdom, United Kingdom1971
Protect It Dental Protect It Dental Provider of emergency medical kits and first aid supplies for dental practicesFort Worth, United States, United States2016
Supply Clinic Supply Clinic Dental supplies marketplace operated online for clinicians and vendors.Chicago, United States, United States2014
DentaCarts DentaCarts Dental products are distributed online to Egyptian clinics and dentists.Cairo, Egypt, Egypt2016
Dentira Dentira Online dental product procurement platform for healthcare professionalsSan Francisco, United States, United States2018

Business Activity of Vasa Denticity

The main business activity of Vasa Denticity is trade. In detail, this covers retail trading and wholesale trading. 2 activity segments are registered with the MCA.

Main Activity Group CodeDescription of Main ActivityBusiness Activity CodeDescription of Business ActivityTurnover Percentage
GTradeG2Retail TradingLocked
GTradeG1Wholesale TradingLocked
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Business activity turnover details for Vasa Denticity Limited

Turnover share and past changes in activity are in the company report.

  • Turnover contribution
  • Historical classifications
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Board of Directors of Vasa Denticity Limited

Vasa Denticity has 7 current directors and 7 former directors. Current directors are listed first, with their designation and appointment date.

Current Directors
NameDesignationAppointment DateTenureStatus
Ravi Kant JagetiyaDirector17 Mar 20233 Years 6 MonthsCurrent
Akanksha AggarwalDirector01 Mar 20233 Years 7 MonthsCurrent
Sandeep AggarwalWhole-Time Director29 Aug 201610 Years 1 MonthsCurrent
Parmeshwar RaviDirector11 Mar 20242 Years 6 MonthsCurrent
Vikas AgarwalManaging Director29 Aug 201610 Years 1 MonthsCurrent
Varun ChughDirector17 Mar 20233 Years 6 MonthsCurrent
Showing 6 of 7 current directors. View all directors

Financials of Vasa Denticity Limited FY 2025-26 filings available

Vasa Denticity Limited reported revenue of ₹278.87 Cr (up 11.83% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹279 Cr
+11.8% YoY
EBITDA
₹10.91 Cr
-52.6% YoY
Profit After Tax
₹10.23 Cr
-37.5% YoY
Net Worth
₹174 Cr
+31.3% YoY
Total Assets
₹177 Cr
+31.1% YoY
Total Debt
₹0.12 Cr
0.0% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24
Income statement
Revenue279249172
Revenue growth+18.4%+9997.0%+9997.0%
EBITDA10.9123.0319.07
EBITDA margin+3.9%+9.2%+11.1%
Profit before tax13.1823.1319.41
Net profit10.2316.3614.83
Net profit margin+3.7%+6.6%+8.6%
EPS (₹)5.9910.2137.65
Balance sheet
Total assets17713569.39
Net worth17413368.35
Total debt0.120.120.08
Cash & bank4.804.4013.58
Net working capital10467.3252.77
Cash flow
Cash from operations(25.09)(3.55)(11.45)
Cash from investing(4.48)(42.68)(22.36)
Cash from financing29.9046.8136.42
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue83.1473.2672.1672.9460.5173.0262.8359.39
Revenue growth (YoY)+37.4%+0.3%+14.9%+22.8%+13.0%+28.1%+70.7%+45.9%
Other income0.922.040.880.630.960.190.450.97
EBITDA5.070.291.755.843.046.395.526.39
EBITDA margin+6.1%+0.4%+2.4%+8.0%+5.0%+8.8%+8.8%+10.8%
Depreciation0.810.700.650.430.330.590.500.28
Interest0.010.020.100.000.000.010.000.00
Profit before tax5.171.611.886.043.675.985.477.08
Tax1.120.350.541.401.001.841.491.73
Net profit4.051.261.344.642.674.143.985.35
EPS (₹)2.360.770.792.831.652.542.453.35
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue27724917212376.9240.0730.42
Revenue growth+17.4%+47.9%+35.3%+58.3%+80.3%+31.1%+9997.0%
EBITDA11.2823.1719.0710.415.580.500.23
EBITDA margin+4.1%+9.3%+11.1%+8.4%+7.3%+1.3%+0.8%
Profit before tax14.0323.3019.419.955.010.460.09
Net profit10.7816.4714.837.604.990.340.09
Net profit margin+3.9%+6.6%+8.6%+6.2%+6.5%+0.9%+0.3%
EPS (₹)6.3010.289.415.92249.8016.294.72
Balance sheet
Total assets17613469.4017.789.452.851.14
Net worth17513368.3515.835.730.600.27
Total debt0.000.000.081.023.261.970.65
Cash & bank3.444.1213.521.481.561.140.50
Net working capital10467.0652.7014.597.502.250.71
Cash flow
Cash from operations(26.55)(4.57)(11.41)1.740.23(0.46)0.80
Cash from investing(4.10)(41.77)(22.46)(1.02)(0.43)(1.29)(0.41)
Cash from financing29.9046.7036.42(0.13)0.811.26(0.06)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue82.1772.4171.4772.7260.0272.8062.8359.39
Revenue growth (YoY)+36.9%-0.5%+13.8%+22.4%+12.1%+27.7%+70.7%+45.9%
Other income0.942.080.930.660.980.190.450.97
Total expenses77.0972.1969.6466.6656.8666.2857.3153.00
EBITDA5.080.221.836.063.166.525.526.39
EBITDA margin+6.2%+0.3%+2.6%+8.3%+5.3%+9.0%+8.8%+10.8%
Depreciation0.700.610.560.340.270.560.500.28
Interest0.010.020.100.000.000.000.000.00
Profit before tax5.311.672.106.383.876.155.477.08
Tax1.110.320.541.401.001.831.491.73

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 02 Oct 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue83.1473.2672.1672.9460.5173.0262.8359.39
Revenue growth (YoY)+37.4%+0.3%+14.9%+22.8%+13.0%+28.1%+70.7%+45.9%
Other income0.922.040.880.630.960.190.450.97
EBITDA5.070.291.755.843.046.395.526.39
EBITDA margin+6.1%+0.4%+2.4%+8.0%+5.0%+8.8%+8.8%+10.8%
Depreciation0.810.700.650.430.330.590.500.28
Interest0.010.020.100.000.000.010.000.00
Profit before tax5.171.611.886.043.675.985.477.08
Tax1.120.350.541.401.001.841.491.73
Net profit4.051.261.344.642.674.143.985.35
EPS (₹)2.360.770.792.831.652.542.453.35
ParticularsFY 2025-26FY 2024-25FY 2023-24
Revenue279249172
Revenue growth+18.4%+9997.0%+9997.0%
Other income4.511.941.43
Total expenses268226153
Employee cost0.0013.838.22
EBITDA10.9123.0319.07
EBITDA margin+3.9%+9.2%+11.1%
Depreciation2.121.731.00
Interest0.120.110.09
Profit before tax13.1823.1319.41
Tax3.286.224.33
Net profit10.2316.3614.83
Net profit margin+3.7%+6.6%+8.6%
EPS (₹)5.9910.2137.65
ParticularsFY 2025-26FY 2024-25FY 2023-24
Equity & liabilities
Share capital17.3416.6216.02
Reserves & surplus15410352.33
Shareholders' funds (net worth)17413368.35
Minority interest1.401.130.00
Secured loans0.000.000.00
Unsecured loans0.120.120.08
Total debt0.120.120.08
Total liabilities17713569.39
Assets
Gross block31.0619.393.95
Net block25.3515.791.91
Capital work in progress0.646.411.27
Investments42.4742.0312.18
Inventories81.1653.7133.97
Sundry debtors12.0513.8811.27
Cash & bank balances4.804.4013.58
Loans & advances26.9111.8410.30
Total current assets12583.8369.12
Total current liabilities20.7816.5116.35
Net working capital10467.3252.77
Total assets17713569.39
ParticularsFY 2025-26FY 2024-25FY 2023-24
Opening cash4.403.831.22
Net cash from operating activities(25.09)(3.55)(11.45)
Net cash from investing activities(4.48)(42.68)(22.36)
Net cash from financing activities29.9046.8136.42
Net change in cash0.330.572.61
Closing cash4.804.4013.58
ParticularsFY 2025-26FY 2024-25FY 2023-24
Growth
Sales growth+11.8%+9997.0%+9997.0%
EBITDA growth-52.6%+9997.0%+9997.0%
PBT growth-43.0%+9997.0%+9997.0%
Net income growth-37.5%+9997.0%+9997.0%
Profitability & leverage
Net income margin+3.6%+6.8%+8.8%
Return on capital employed-+22.9%+112.4%
Return on net worth-+16.8%+88.3%
Debt / equity-0.000.00
Long-term debt / equity-0.000.00
Interest cover1.370.520.50
Efficiency & per share
Fixed asset turnover-21.37174.06
Inventory turnover-5.6920.24
Debtors turnover-19.8361.00
EPS (₹)5.9910.2137.65
Dividend per share (₹)0.000.000.00
Book value per share (₹)0.0072.2042.67
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue82.1772.4171.4772.7260.0272.8062.8359.39
Revenue growth (YoY)+36.9%-0.5%+13.8%+22.4%+12.1%+27.7%+70.7%+45.9%
Other income0.942.080.930.660.980.190.450.97
Total expenses77.0972.1969.6466.6656.8666.2857.3153.00
EBITDA5.080.221.836.063.166.525.526.39
EBITDA margin+6.2%+0.3%+2.6%+8.3%+5.3%+9.0%+8.8%+10.8%
Depreciation0.700.610.560.340.270.560.500.28
Interest0.010.020.100.000.000.000.000.00
Profit before tax5.311.672.106.383.876.155.477.08
Tax1.110.320.541.401.001.831.491.73
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue27724917212376.9240.0730.42
Revenue growth+17.4%+47.9%+35.3%+58.3%+80.3%+31.1%+9997.0%
Other income4.651.941.430.480.220.110.03
Total expenses26522615311371.3439.5730.19
Employee cost0.0013.678.227.114.131.662.39
EBITDA11.2823.1719.0710.415.580.500.23
EBITDA margin+4.1%+9.3%+11.1%+8.4%+7.3%+1.3%+0.8%
Depreciation1.781.711.000.540.310.090.08
Interest0.120.100.090.400.480.060.09
Profit before tax14.0323.3019.419.955.010.460.09
Tax3.256.214.332.350.020.120.00
Net profit10.7816.4714.837.604.990.340.09
Net profit margin+3.9%+6.6%+8.6%+6.2%+6.5%+0.9%+0.3%
EPS (₹)6.3010.289.415.92249.8016.294.72
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital17.3416.6216.0212.840.200.200.20
Reserves & surplus15510452.332.995.530.400.07
Shareholders' funds (net worth)17513368.3515.835.730.600.27
Secured loans0.000.000.080.831.281.970.60
Unsecured loans0.000.000.000.191.980.000.05
Total debt0.000.000.081.023.261.970.65
Total liabilities17613469.4017.789.452.851.14
Assets
Gross block27.3118.533.893.041.270.650.45
Net block21.9614.961.872.020.790.470.36
Capital work in progress0.634.531.270.000.000.000.00
Investments45.0243.9412.280.000.000.000.00
Inventories80.6053.6033.9717.789.932.782.29
Sundry debtors11.4913.6511.270.981.360.760.80
Cash & bank balances3.444.1213.521.481.561.140.50
Loans & advances28.9911.9610.294.314.301.640.81
Total current assets12583.3369.0524.5517.156.324.40
Total current liabilities20.3816.2716.359.969.654.073.69
Net working capital10467.0652.7014.597.502.250.71
Total assets17613469.4017.789.452.851.14
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash4.123.771.220.630.010.500.18
Net cash from operating activities(26.55)(4.57)(11.41)1.740.23(0.46)0.80
Net cash from investing activities(4.10)(41.77)(22.46)(1.02)(0.43)(1.29)(0.41)
Net cash from financing activities29.9046.7036.42(0.13)0.811.26(0.06)
Net change in cash(0.75)0.362.550.590.61(0.48)0.32
Closing cash3.374.1213.521.481.561.140.50
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+11.0%+45.0%+39.4%+60.3%+92.0%+31.7%+9997.0%
EBITDA growth-51.3%+21.5%+83.2%+86.6%+1016.0%+117.4%+9997.0%
PBT growth-39.8%+20.0%+95.1%+98.6%+989.1%+411.1%+9997.0%
Net income growth-34.6%+11.1%+95.1%+52.3%+1367.7%+277.8%+9997.0%
Revenue CAGR (3Y)+30.9%+48.0%+62.5%+59.5%---
EBITDA CAGR (3Y)+2.7%+60.7%+236.6%+256.4%---
Profitability & leverage
Net income margin+3.9%+6.9%+8.8%+6.2%+6.5%+0.9%+0.3%
Return on capital employed-+23.1%+44.7%+76.0%+89.4%+25.6%+15.8%
Return on net worth-+17.0%+35.8%+70.5%+158.0%+75.9%+33.3%
Debt / equity-0.000.010.200.833.022.40
Long-term debt / equity-0.000.000.080.230.010.01
Interest cover1.260.470.504.059.1114.6360.00
Efficiency & per share
Fixed asset turnover-22.2349.6057.2380.1372.8567.60
Inventory turnover-5.696.648.9012.1015.8113.28
Debtors turnover-20.0028.06105.4072.5751.3738.03
EPS (₹)6.3010.289.415.92249.8016.294.72
Dividend per share (₹)0.000.000.000.000.000.000.00
Book value per share (₹)0.0072.2842.6712.32286.3329.8913.60
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Charges & Borrowings of Vasa Denticity

Open charges
₹15 Cr
Satisfied charges
₹1.3 Cr
Breakdown by lending institutions
Others₹15.00 Cr
Latest charge details
DateLenderAmountStatus
29 May 2025Others₹15 CrOpen
31 Dec 2018State Bank of India₹1.3 CrSatisfied

Total charge records: 2 View all charges

Employees and EPFO Compliance at Vasa Denticity

Employment history and EPFO contributions of people linked to Vasa Denticity.

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Employee and EPFO history for Vasa Denticity Limited

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GST Compliance of Vasa Denticity

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Credit Ratings, Litigation & Regulatory Alerts for Vasa Denticity

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MSME Payment Delays by Vasa Denticity

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MSME payment history for Vasa Denticity Limited

Amounts due to small suppliers, the reasons given and MSME-1 filings are in the company report.

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Subsidiaries & Group Companies of Vasa Denticity

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Corporate group structure for Vasa Denticity Limited

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MCA Filings & Documents of Vasa Denticity

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MCA filings and documents for Vasa Denticity Limited

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Recent Activity on Vasa Denticity

Directors
03 Jun 2026
Sandeep Aggarwal was appointed as a Cfo on 03 Jun 2026 & has been associated with this company since 4 months 1 day.
Activity
26 Sep 2025
Vasa Denticity Limited last Annual general meeting of members was held on 26 Sep 2025 as per latest MCA records.
Charges
09 Jul 2025
A charge with Others of Rs. 15.00 Cr registered on 29 May 2025 with Charge ID 101110757 was modified on 09 Jul 2025.
Charges
29 May 2025
A charge with Others amounted to Rs. 15.00 Cr with Charge ID 101110757 was registered on 29 May 2025.
Activity
31 Mar 2025
Vasa Denticity Limited has filed its annual Financial statements for the year ended 31 Mar 2025 with Roc Delhi I.
Directors
27 Feb 2025
Nidhi was appointed as a Company Secretary on 27 Feb 2025 & has been associated with this company since 1 year 7 months.

Recent News on Vasa Denticity

Frequently Asked Questions about Vasa Denticity Limited

Vasa Denticity is an active public limited company in the e-commerce sector based in New Delhi, Delhi, India. It was incorporated on 29 August 2016 (10+ years old) and is registered under CIN L74999DL2016PLC305052. The company has 94 employees.

Vasa Denticity reported revenue of ₹278.87 Cr for FY 2025-26 (up 11.83% YoY) based on consolidated financials.

The current directors of Vasa Denticity are:

The primary industry of Vasa Denticity is e-commerce. The company specifically operates in online healthcare product retail. The company is currently active in this sector.

Yes, Vasa Denticity is a listed company.

Yes, Vasa Denticity is recognised as a startup by the Department for Promotion of Industry and Internal Trade (DPIIT).

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