BMSM ApSActive

CVR 40407391

Key figures

-162.427 kr.-65,2%
Gross profit 2024/25
-300 k-200 k-100 k02019/202020/212021/222022/232023/242024/25

Key ratios

2024/25
Balance sheet structure
Current assetsNon-current assetsLiabilities and provisionsEquity
0250 k500 k750 k2019/202020/212021/222022/232023/242024/25

Corporate tax

income year 2024
2024Taxable income -125.661 kr.0 kr.
2023Taxable income -217.831 kr.0 kr.
2022Taxable income -51.390 kr.0 kr.
2021Taxable income -4.023 kr.0 kr.
2020Taxable income -5.205 kr.0 kr.
Corporate tax →

Source: the Danish Tax Agency's public company tax lists. Calculated tax for the income year; may be lower than 22% of income, e.g. when tax is paid abroad. sktst.dk

Financial statements2020–2025
2019/202020/212021/222022/232023/242024/25
Balance sheet — assets
Cash and cash equivalents16.20516.3245.6328.8262.897595
Total current assets25.57131.7275.63211.660322.836255.684
Total non-current assets37.464101.39594.12489.17184.21879.265
Total assets63.035133.12299.756100.831407.054334.949
Balance sheet — liabilities and equity
Current liabilities28.240100.032111.1737.0007.2008.000
Non-current liabilities———176.845601.350723.802
Total liabilities28.240100.032111.173183.845608.550731.802
Share capital40.00040.00040.000180.000180.000180.000
Retained earnings of previous periods-5.205-9.228-51.417-263.014-381.496-576.853
Profit for the year-5.205-1.705-44.507-211.597-118.482-195.358
Total equity34.79533.090-11.417-83.014-201.496-396.853
Income statement
Gross profit-5.000-1.325-35.867-201.596-98.328-162.427
Operating profit-5.000-1.325-40.820-206.549-103.281-167.380
EBITDA——-35.867-201.596-98.328-162.427
Profit before income tax-5.205-1.705-44.507-211.597-118.482-195.358
Profit for the reporting year-5.205-1.705-44.507-211.597-118.482-195.358
Labour costs——————
Depreciation of non-current assets——4.9534.9534.9534.953
Other indicators
Employees000111

A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.

About the company

Annual report 2025

Selskabets væsentligste aktiviteter består i maskineforarbejdning af patenteret produkt og salg heraf.

Selskabets resultatopgørelse for regnskabsåret 1. oktober 2024 - 30. september 2025 udviser et resultat på kr. -195.358, og selskabets balance pr. 30. september 2025 udviser en balancesum på kr. 334.949, og en egenkapital på kr. -396.853.Ledelsen anser resultatet for utilfredsstillende.Selskabet har tabt hele sin egenkapital. Egenkapitalen forventes genetableret ved fremtidig drift, hvor selskabet er på vej ind på det engelske marked.Anpartshaver vil stille den nødvendige likviditet og kapitalberedskab til rådighed for selskabet, i det omfang deropstår behov herfor.Gæld virksomhedsdeltager og ledelse er anført under langfristede gældsforpligtelse, idet der foreligger entilbagetrædelseserklæring i forhold til øvrige kreditorer.

Excerpt from the management's review in the latest annual report.

BMSM ApS — cvrprofil.dk