BMK Advisory A/S is a Danish A/S based in Ishøj, operating in the Business and other management consultancy activities sector. Incorporated in 2001, the company has 1 employee and reported a gross profit of DKK 139.6k in its latest annual filing.
| Gross profit | 139.6K DKK | -44% |
| EBITDA | 139.6K DKK | -44% |
| Net profit | 106.7K DKK | -67% |
| Total assets | 633.5K DKK | +28% |
| Equity | 600.6K DKK | +22% |
| Employees | 1 | — |
In its most recent annual report (2025), BMK Advisory A/S reported a gross profit of DKK 139.6k, a decrease of 44% on the year before. The figures on this page draw on 5 annual filings covering 2021 to 2025. The bottom line showed a net profit of DKK 106.7k, and the EBITDA margin stood at 100%.
At the end of 2025, equity financed 94.8% of the balance sheet.
| Item | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Revenue | 140 | 250 | -6 | -30 | 1,059 |
| Staff expenses | -0 | -0 | -0 | -0 | -0 |
| EBITDA | 140 | 250 | -6 | -30 | -356 |
| Depreciation & amort. | -0 | -0 | -0 | -0 | -17 |
| EBIT | 140 | 250 | -6 | -30 | -373 |
| Net financials | -0 | -2 | 33 | -2 | -1 |
| Profit before tax | 140 | 248 | 27 | -32 | -374 |
| Tax | 33 | -75 | -0 | 111 | -88 |
| Net profit | 107 | 323 | 27 | -142 | -286 |
| Item | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Total assets | 633 | 494 | 2 | 98 | 239 |
| Equity | 601 | 494 | 2 | -25 | 118 |
| Long-term debt | 33 | 0 | 0 | 0 | 0 |
| Short-term debt | 0 | 0 | 0 | 122 | 121 |
| Total debt | 33 | 0 | 0 | 122 | 121 |
28 financial ratios from the latest filing, each graded against companies in the same industry.
Net profit as a percentage of equity — the return the owners earned on their invested capital this year.
Net profit as a percentage of total assets — the return generated on the capital employed.
Profit relative to net assets (total assets minus total debt) — the ability to generate earnings from the net asset base alone.
EBIT relative to total assets — the company's earning power before the effects of tax and financial leverage.
The gross result as a share of revenue — how much of the revenue is left after variable costs to cover the company's fixed costs.
EBIT as a share of revenue — the share of revenue remaining as earnings once all operating costs are covered. A key measure of earning power.
The profit for the year as a share of revenue — the company's ability to turn revenue into profit.
Shows how strongly fixed costs weigh on the gross result — a high ratio means fixed costs take only a small bite out of the earnings from basic operations.
Current assets relative to equity — an indicator of the balance-sheet structure and of the company's short- and long-term financing. The healthy level is highly industry-dependent.
Fixed assets relative to long-term capital (equity plus long-term liabilities). Below 100% means the long-term capital finances more than just the fixed assets — a healthier liquidity position.
Cash flow relative to profit — the ability to convert reported profits into accessible cash.
Current assets relative to short-term debt — the ability to settle short-term obligations with current assets alone. Around 150% is considered satisfactory from a credit perspective.
Current assets excluding inventory relative to short-term debt — whether the most liquid assets alone can cover the short-term obligations. A value of 1 or above signals a healthy liquidity position.
Cash relative to short-term debt — the ability to repay short-term obligations with cash alone.
Equity as a share of total assets — the ability to absorb losses. Around 40% is considered satisfactory from a credit perspective.
Total debt relative to the balance-sheet total — the share of the assets financed by debt rather than equity.
Debt relative to equity — the company's leverage. A higher value means heavier reliance on debt financing.
Total liabilities relative to equity — whether the company operates primarily on borrowed capital or on its own.
Profit relative to debt — the ability to create earnings while operating with debt.
EBITDA relative to debt — how much operating earnings are available to service the debt.
The ability to pay the interest on the company's debt out of its earnings.
Financial expenses relative to total liabilities — the effective interest rate the company pays on its debt.
The return on assets minus the interest rate on debt. Positive means the company benefits from operating with debt; negative means the debt makes it worse off.
Total equity relative to the capital the owners contributed — how the equity has developed from its starting point.
The size of this year's increase or decrease in the company's equity.
Revenue relative to total assets — the ability to generate revenue from the asset base.
Revenue relative to inventory — how many times a year the inventory is sold and replaced. A low value can indicate weak sales or excess inventory.
The size of this year's increase or decrease in the company's debt.
| Name | Role | Member since |
|---|---|---|
| Current (5) | ||
LC Founder | Founder | 2001 |
KS Founder | Founder | 2001 |
BS Management | Management | 2023 |
KM Founder | Founder | 2001 |
KM | Founder | 2001 |
SP Audit | Audit | 2004 – 2004 |
BZ Management | Management | 2001 – 2023 |
UN Founder | Founder | 2001 – 2002 |
| Name | Role | Member since |
|---|---|---|
| Current (3) | ||
KY Chairman | Chairman | 2022 |
BZ Board of Directors | Board of Directors | 2001 |
HB Board of Directors | Board of Directors | 2019 |
BW Board of Directors | Board of Directors | 2007 – 2018 |
LC Board of Directors | Board of Directors | 2002 – 2002 |
Ll Board of Directors | Board of Directors | 2001 – 2002 |
AM Board of Directors | Board of Directors | 2015 – 2018 |
AG Chairman | Chairman | 2007 – 2018 |
KJ Board of Directors | Board of Directors | 2001 – 2004 |
VO Chairman | Chairman | 2001 – 2007 |
KM Board of Directors | Board of Directors | 2001 – 2004 |
| Shareholder | Type | Ownership | Votes | Registered |
|---|---|---|---|---|
| Company | 100% | 100% | 2023 | |
| Company | 15–19.99% | 15–19.99% | 2021 | |
| Company | 15–19.99% | 15–19.99% | 2021 | |
| Company | 15–19.99% | 15–19.99% | 2021 | |
| Individual | 5–9.99% | 5–9.99% | 2015 | |
| Company | 25–33.32% | 25–33.32% | 2007 | |
| Individual | 15–19.99% | 15–19.99% | 2021 | |
| Company | 100% | 100% | 2022 |
| Person | Role here | Other companies |
|---|---|---|
| Bo Zoffmann Jessen | Management | 5 companies |
| Karin Yvonne Thillemann Jessen | Chairman | 3 companies |
| Benjamin Sonne | Management | 2 companies |
| Kate Magdalene Gjørup Petersen | Founder | 2 companies |
| Anne Marie Rødbroe | Board of Directors | 2 companies |
| Henrik Bindesbøl Kops Laurents | Board of Directors | 2 companies |
| Vagn Ole Kirkeskov Pedersen | Chairman | 2 companies |
| Søren Penzien Mamsen | Audit | 1 company |
| Kirsten Meldgaard Poulsen | Founder | 1 company |
| Berit Weise | Board of Directors | 1 company |
| Adam Gyula Laszlo Jarolics | Chairman | 1 company |