Nis Jul Clausen

Lic.jur., LL.M.

  • Campusvej 55

    5230 Odense M

    Danmark

19992019
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Personlig profil

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Curriculum VitaeProfessor of Law, Nis Jul Clausen, SJD, LL.M.Department of Law, University of Southern DenmarkCampusvej 55, DK 5230 Odense Me-mail: njc@sam.sdu.dkTel. (office) +45 6550 3288, tel. (mobile) +45 6011 3288Academic degrees: 1978: Master of Law (cand.jur.), University of Aarhus, Denmark.1985: Master of Law LL.M., Duke University, USA.1987: SJD/Ph.D. (lic.jur.) University of Aarhus, Denmark. Academic career: In 1997 appointed Professor of Law, University of Southern Denmark.Since 1995 Permanent Scholar in Residence, Duke University, School of Law, USA.From 1983 to 1997 associated professor at Odense University, Aarhus School of Business and Copenhagen Business School.Area of research: Within the area of law the primary focus is on national and international securities regulation, law of banking and finance and company law. Publication of several national and international books and articles within the area of research, see List of publications.Research projects (sponsored):Member of the management of and/or received grants in the following projects:1984-1985: One year at Duke University, School of Law financed by The Danish Social Science Research Council.Nordic Perspectives on the Development of Company Law, 1992-1997 financed by The Danish Social Science Research Council.Legal Aspects of Competition in the Financial Sector, 2004-2006 financed by Lån & Spar Bank Foundation.Indirect Investor Protection after the Implementation of the Financial Services Action Plan, 2009-2012 financed by The Danish Council for Independent Research – Social Science.New Trading Pattern for listed Securities on the Nordic Market – Challenges, Consequences and Response 2011-2012 financed by NASDAQ OMX Nordic Foundation. Administrative positions:January 2000 - April 2005: Head of Department of Accounting, Finance and Business Law and Department of Law.May 2005 – December 2006: Dean of the Faculty of Social Science, University of Southern University.Teaching:In addition to teaching as part of positions held taught courses e.g. at Duke University, University of Lund, Duke in Copenhagen Summer School, and Duke-Geneva Transnational Law Institute.Committees (lawmaking process):Independent legal expert of several Danish governmental committees preparing legislation, including the implementation of the Insider Dealing Directive in 1990-92 and the Investment Service Directive in 1993-95 and most recently in 2013 and 2014 member of the Financial Authority’s working group on a reform of the regulation on takeovers and the Securities Trading Act in general, the latter dealing e.g. with MiFIR, MiFID II, MAR and MAD II. National expert under Framework Service Contract for Assistance Services in the field of Compliance Assessment to the European Commission, from 2016.Independent legal expert for the Latvian Financial and Capital Market Commission with respect to a reform of Securities Laws in Latvia, 2001-2002.Independent member of the European Parliament, Committee on Economic and Monetary Affairs’ Panel of Experts on the regulation of financial markets, 2002-2005 (elements of the Financial Services Action Plan).Committees (others):Expert for Det Finansielle Råd (Danish complaint board related to financial business and activities), 2013-2014.Member of the Academic Committee of FEU-project on Reform of Higher Education in Law in Latvia, 2002-2007. Since 2002 Chairman of Kvalifikationsnævnet (Committee on the assessment of foreign educational qualifications) under the Danish Ministry of Education.Member of Euro-Faculty’s International Evaluation Committee on a Law Curriculum Reform at the University of Latvia, Riga (2002) and on Baltic Centres of Excellence in Law, 2003-04.Vice-chairman of the EuroFaculty Baltic Centres of Excellence, 2005-2007.Chairman of a committee on co-financing of research between universities and industry under the Danish Ministry of Research, 2000.Editional boards:Member of the following editorial boards: International and Comparative Corporate Law Journal,Ricerche giuridiche, Nordisk Tidsskrift for Selskabsret, finans/invest. Awards:Årets juridiske underviser 2014, Juridisk Forening, University of Southern Denmark (Teacher of the Year in Law) Undervisningsprisen 2000 at University of Southern Denmark (Teacher of the Year)Foreningen af Erhvervsjuristers Litteraturpris, 2001 for the book Børsretten (Yearly Book Award)Fyens Stifttidendes Forskerpris, 1999 (Research Award)Den Fynske Fond for Erhvervsøkonomisk Forsknings’s Forskerpris, 1992 (Research Award).Board member:2001-2014: Member of the board of Investeringsforeningen Lån & Spar Invest, (Danish UCIT) since 2005 chairman of the board.2003-2014: Member of the board of Investeringsinstitutforeningen Lån & Spar Mix Invest (Danish UCIT) since 2005 chairman of the board.Since 2004: Member of the board of International Woodland Company A/S and International Woodland Company Holding A/S.Since 2008: Member of the board of International Woodland Company Employee ApSSince 2012: Member of the board of IWC Investment Partners A/S (Danish Alternative Investment Fund Manager).2012-2014: Chairman of the board of Investeringsforeningen Gudme Raaschou (Danish UCIT)2013-2015: Member of the board of investeringsforvaltningsselskabet Invest Administration A/S (Danish fund management company)November, 2017 List of Publication 1987-2016Professor of Law, Nis Jul Clausen, SJD; LL.M.Department of Law, University of Southern DenmarkCampusvej 55, DK 5230 Odense Me-mail: njc@sam.sdu.dkTel. (office) +45 6550 3288, tel. (mobile) +45 60113288Books (in English): 1.»A Key to Nordic Takeovers« (co-author) Linklaters, Stockholm, Ed. 5 2013, 126 pp. (Ed. 4 2011, Ed. 3, 2008, Ed. 2 2006 and Ed. 1 2005).2.»Shareholder Conflicts«, Thomson, Sweet & Maxwell, 2006, 290 pp. (ed.).3.»Capital Markets and Stock Exchanges in the Baltic Sea Region - Consequences of stock market concentration in Europe for the Baltic Sea Region - How to ensure an efficient and adequate capital allocation as a driver of transition in an enlarged Europe« (co-authors) Baltic Development Forum, 2000, www.bdforum.org.4.»Takeover bids - The Danish, Norwegian and Swedish Regulation to be challenged by the 13th Company Law Directive« (co-author Karsten Engsig Sørensen) DJØF LAW, 1998, 112 pp.5.»International Securities Regulation«, Odense University Press, 1991, 126 pp. (ed.)Books (in Danish):6.»Festskrift til Hans Viggo Godsk Pedersen« [Festschrift in honour of Hans Viggo Godsk Pedersen] (editor, co-editors Annette Kromborg, Nina Dietz Legind & Bent Ole Gram Mortensen) DJØF’s Forlag, 2017, 618 pp.7.»Dansk Privatret« [Danish private law], (co-authors) DJØF’s Forlag, Ed. 19, 2016, 827 pp., (Ed. 18, 2014, Ed. 17 2012, Ed. 16 2010, Ed. 15 2008, Ed. 14 2005, Ed. 13 2003, Ed. 12 2001, and Ed. 11 1999). 8.»Ikke kun retsfilosofi – Festskrift til Sten Schaumburg-Müller« [Not only legal philosofi - Festschrift in honour of Sten Schaumburg-Müller] (editor, co-editors Jørgen Dahlberg-Larsen, Bent Ole Gram Mortensen & Hans Viggo Godsk Pedersen) DJØF’s Forlag, 2016, 455 pp.9.»Købsretten« [The law on sale of goods], (co-authors) Karnov Group, Ed 6. Revised and expanded, 2015 382 pp. (Ed 5. revised and expanted, 2012, 359 pp., Ed 4. revised and expanded, 2009, 251 pp.).10.»Børsretten« [Exchange law], (co-author Paul Krüger Andersen). Ed 5, 2014, 715 pp.11.»Sikkerhed i fordringer« [Security of creditors’ claims], (co-author Camilla Hørby Jensen) Karnov Group, Ed. 7 2014 188 pp. (Ed. 6 2011,Ed. 5, 2008, Ed. 4 2003, Ed. 3 2000, Ed. 2 1996, and Ed. 1 1993)12.»Bankjura – Udvalgte emner« [Banking law – selected topics], (co-authors Camilla Hørby Jensen (eds.)) DJØF’s Forlag, Ed. 2013 (Ed. 1 2010), 613 pp. 13.»Børsretten II – Notering, oplysningspligt, overtagelsestilbud og markedsmisbrug« [Exchange law II – Listing, disclosure requirements, takeover bids and market abuse], (co-author Paul Krüger Andersen) DJØF’s Forlag, Ed 4 2011, 650 pp. (Ed. 3, 2008) 14.»Børsretten I – Regulering, markedsaktører og tilsyn« [Exchange law I – Regulation, market participants and supervision], (co-author Paul Krüger Andersen) Ed 4 2011 pp. 267 (Ed 3 2007).15.»Erhvervsjura for den finansielle sektor« [Business law for the financial sector], (co-authors) Forlaget Pejus, Ed. 3 2010 95 pp. (Ed. 2, 2008, Ed. 1 2006).16.»Erhvervsjuridisk lærebog« [Textbook Business law] (co-authors) Forlaget Pejus, 2008, 80 pp.17.»Festskrift til Ole Bjørn« [Festschrift in honour of Ole Bjørn] (editor, co-editors Susanne Pedersen & Søren Friis Hansen) DJØF’s Forlag, 2004, 535 pp.18.»Børsretten« [Exchange law], (co-author Paul Krüger Andersen) DJØF’s Forlag, Ed. 2, 2003, 648 pp. (Ed. 1, 2000)19.»Ekspertundersøgelse vedrørende åbenhed om aktiebesiddelser« [Expert examination on disclosure of shareholdings], Finanstilsynet (co-author Karsten Engsig Sørensen), 2000, www.ftnet.dk20.»Det børsnoterede selskab« [Listed companies] in Selskabsret for praktikere [Company law for practitioners], Thomson, pp. 461-499, 200021.»Det børsnoterede selskab« [Listed companies] in Fakta Selskaber, Gad.Jura, 1999, 40 pp.22.»Udredning om overtagelsestilbud - En analyse af reguleringen i 11 europæiske lande og USA« [A report on takeover bids – an analysis of regulations in 11 European countries and the USA], Finanstilsynet (co-author Karsten Engsig Sørensen) 1998, 246 pp., www.ftnet.dk. 23.»Valutastyring og insiderhandel« [Currency transactions and insider dealing], (co-authors) DJØF’s Forlag, 1996, 88 pp.24.»Introduktion til børsretten - børsreform II« [Introduction to exchange law – market reform I], (co-author Paul Krüger Andersen) DJØF’s Forlag, 1996, 298 pp.25.»Nye tendenser i skandinavisk selskabsret« [New trends in Scandinavian company law], (Ed.) DJØF’s Forlag, 1995, 234 pp. 26.»Børsret - Oplysningsforpligtelse« [Exchange law – disclosure requirements], DJØF Publishing, 1993, 218 pp. 27.»Børsret - Insider handel« [Exchange law – insider dealing], DJØF’s Forlag, 1992, 118 pp.28.»Kreditsikring« [Credit insurance], (co-author Bent Iversen) FYR’s Forlag, 1991, 232 pp. 29.»Finansiering via Selskabsopsplitning« [Financing by forming subsidiary], Afhandlinger fra Det samfundsvidenskabelige Fakultet på Odense Universitet, 1987, 276 pp.Articles (in English):30.»Negotiable Instruments« chapter 7 (pp. 102-106), »Stock and Commodity Exchanges« chapter 8 (pp. 107-116), and »Commercial Securities« chapter 10 (pp. 158-164) in Peter Møgelvang-Hansen (ed.): »Commercial and Economic Law in Denmark«, Wolters Kluwer, 2013. 31.»Reforming the Regulation of Trading Venues in the EU under the Proposed MiFID II – Levelling the Playing Field and Overcoming Fragmentation?« (co-author Karsten Engsig Sørensen) European Company and Financial Law Review vol. 12, No. 3, 2012 pp. 275-306. 32.»Regulating Different Trading Venues: The European Experience Based on MiFID« (co-author Karsten Engsig Sørensen) chapter 17, pp. 359-384 in Hanne S. Birkemose, Mette Neville & Karsten Engsig Sørensen (eds.): European Financial Market in Transition, Wolters Kluwer, 2011.33.»Regulating Listed Companies: Between Company law and Financial Market Law in Danish Law« European Business Law Review vol. 22, No 2, 2011 pp. 171-188.34.»Listed companies – Between Company Law and Financial Market Law in Denmark« International and Comparative Corporate Law Journal, vol. 7, issue 3, 2010, pp. 71-98.35.»Stock Exchange Concentration and Harmonisation – Aspects of recent Development« (co-author Karsten Engsig Sørensen) in Quarterly for the entire Commercial, Insolvency and Capital Market Law vol. 7, No 1, 2009 pp. 5-12.36.»Stock Exchange Mergers – The new Driver in the Harmonisation of Securities Market Regulation?« (co-author Karsten Engsig Sørensen) in European Company and Financial Law Review vol. 6, No 1, 2009 pp. 29-70. 37.»The OMX/Norex Alliance and the building of an integrated Nordic-Baltic financial market« (co-author Karsten Engsig Sørensen) in Paul Krüger Andersen & Karsten Engsig Sørensen (eds.) Company Law and Finance 2008 pp. 201-234.38.»Financial Services Action Plan – New Ways and Means in the regulation of Listed Companies« in Ulf Bernitz (ed.) Modern Company Law for a European Economy 2006 pp. 278-298.39.»New Regulatory Approach for Financial Markets – A Global, European, and National Challenge« in Yvonne Goldammer (ed.) The Long Road of Smaller Countries into the Enlarged European Union, 2006 pp. 64-82.40.»New Approach to EU Securities Regulation - The prospectus Directive« in Mette Neville & Karsten Engsig Sørensen (eds.) The Regulation of Companies, 2003 pp. 167-180.41.»The 2003 Proposal for a Directive on Takeovers bids - Impact on the Regulation in Scandinavia« (co-author Karsten Engsig Sørensen) in Scandinavian Studies in Law - Company Law, vol. 45, 2003, pp. 89 - 110.42.»Competition and Co-operation between Stock Exchanges in Europe - Legal Aspects and Challenges?« (co-author Karsten Engsig Sørensen) European Business Organization Law Review, vol. 3, 2002, pp. 371-402.43.»Disclosure of Major Shareholdings - A comparative analysis of the regulation in Europe« (co-author Karsten Engsig Sørensen) International and Comparative Company Law Journal vol. 4, issue 3, 2002, pp. 201 - 248.44.»European Regulation on Major Shareholdings and Takeovers« (co-author Karsten Engsig Sørensen) European Business Law Review 2002, pp. 343 - 356.45.»Securities markets and their Regulation - A chicken and egg situation?« in The Internationalisation of Companies and Company Laws«, Mette Neville and Karsten Engsig Sørensen (eds.) 2001, pp. 281-289. 46.»Securities market co-operation: a new regulatory standard in the next millennium« The Company Lawyer vol. 21, issue 2, 2000, pp. 43-44.47.»The Regulation of Takeover Bids in Europe: the Impact of the Proposed 13th EC Company Law Directive on the Present Regulation in the EU Member States« (co-author Karsten Engsig Sørensen) International and Comparative Corporate Law Journal, vol. 1, issue 2, 1999, pp. 169-218.48.»The Monitoring Duties of Directors under the EC Directive: A View from the U.S. Experience« (co-author James D. Cox) Duke Journal of Comparative & International Law, vol. 1, 1992, pp. 29-64.49.»Monitoring Duty of the Danish Board of Directors«, The Company Lawyer, vol. 12, 1991, pp. 68-72.50.»Denmark«, (co-author Jeanne Blyt) pp. 49-58 in »Insider Trading - The Laws of Europe, the United States and Japan« Emmanuel Gaillard (ed.) 1991.51.»Disregard of Legal Entity - Danish Case Law«, Scandinavian Studies in Law vol. 31, 1989 pp. 79-94.52.»Use of the American Doctrine of Piercing the Corporate Veil: An Argument in Danish Business Law«, International Tax & Business Lawyer, vol. 5, 1987, pp. 44-69. Articles (in Danish):53.»Professionelle sportsklubber – kapitaltilførsel og børsnotering« [Professional sportsclubs – infusion of capital and listing] pp. 525-588, Jens Evald (red.) Dansk & international sportsret, 2. udg. 2017 (ED 1., 2014)54.»Finanstilsynets afgørelser 2016 - børsområdet« [Decisions of the Financial Supervisory Authority 2016 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2017:1 pp. 63-6955.»Bankbestyrelsens byrder- jura, risikostyring eller forretningsudvikling« [Burdens on board og banks – law, risk management or business development] (co-authoors Hanne Søndergaard Birkmose & Lars Ohnimus) in finans/invest 01/2017 pp. 6-13.56.»Bank og bøde – om bødeniveauet på det finansielle område« [Bank and fine – the level of fines in the financial sector] (co-author Thomas Elholm pp. 67-82) »Festskrift til Hans Viggo Godsk Pedersen« [Festschrift in honour of Hans Viggo Godsk Pedersen] (editor, co-editors Annette Kromborg, Nina Dietz Legind & Bent Ole Gram Mortensen) DJØF’s Forlag, 2017.57.»Tanker om kvalitet i retsvidenskabelig forskning« [Thoughts on quality in legal research] (co-author Thomas Elholm) pp. 141-156 in »Ikke kun retsfilosofi – Festskrift til Sten Schaumburg-Müller« (editors Nis Jul Clausen, Jørgen Dahlberg-Larsen, Best Ole Gram Mortensen & Hans Viggo Godsk Pedersen) DJØF’s Forlag, 2016.58.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2015« [NASDAQ OMX, Copenhagen – Decisions and statements 2015], Nordisk Tidsskrift for Selskabsret 2016:1 pp. 89-9659.»Finanstilsynets afgørelser 2015 - børsområdet« [Decisions of the Financial Supervisory Authority 2015 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2016:1 pp. 97-10260.»Ansvar for finansiel rådgivning – og hvad så med juraen?« [Liablity for financial advice – what about the law?] s. 23-43 in Hans Viggo Godsk Pedersen (red.): Juridiske emner ved Syddansk Universitet 2015, DJØF Forlag61.»Finanstilsynets afgørelser 2014 - børsområdet« [Decisions of the Financial Supervisory Authority 2014 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2015:1 pp. 99-10962.»Finanstilsynets afgørelser 2013 - børsområdet« [Decisions of the Financial Supervisory Authority 2013 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2014:1 pp. 112-12063.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2013« [NASDAQ OMX, Copenhagen – Decisions and statements 2013], Nordisk Tidsskrift for Selskabsret 2014:1 pp. 121-13064.»Betydningen af Pengeinstitutankenævnets praksis i forhold til nogle traditionelle obligationsretlige principper« [The Danish Complaint Board of Banking Services’ case law – relevance i relation to traditional private law principles] (medforfatter Nina Dietz Legind) Tidsskrift for Rettsvitenskap 4-5/2013, Skrifter til minne om Viggo Hagstrøm, pp. 567-59765.»Fra børsetik til børsret – fra fy til ubetinget fængsel« [From soft law to hard law in stock exchange regulation – from shame to imprisonment] s. 9-28 in Hans Viggo Godsk Pedersen (red.): Juridiske emner ved Syddansk Universitet 2013, DJØF Forlag66.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2012, 2. halvår« [NASDAQ OMX, Copenhagen – Decisions and statements 2012, 2. halfyear], Nordisk Tidsskrift for Selskabsret 2013:1-2 pp. 139-14567.»Finanstilsynets afgørelser 2012, 2. halvår - børsområdet« [Decisions of the Financial Supervisory Authority 2012 2. halfyear – the exchange sector], Nordisk Tidsskrift for Selskabsret 2013:1-2 pp. 146-15268.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2012, 1. halvår« [NASDAQ OMX, Copenhagen – Decisions and statements 2012, 1. halfyear], Nordisk Tidsskrift for Selskabsret 2012:2 pp. 98-10469.»Finanstilsynets afgørelser 2012, 1. halvår - børsområdet« [Decisions of the Financial Supervisory Authority 2012 1. halfyear – the exchange sector], Nordisk Tidsskrift for Selskabsret 2012:1 pp. 106-11570.»Børsnoterede sportsklubber – En børsretlig udfordring?« [Listed Sports Clubs – Challeging securities law?] in Niels Fenger, Mads Bryde Andersen, Lars Bo Langsted and Lars Lindencrone Pedersen (eds.) Festskrift til Erik Werlauff (2012) pp. 93-11571.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2011, 2. halvår« [NASDAQ OMX, Copenhagen – Decisions and statements 2011, 2. halfyear], Nordisk Tidsskrift for Selskabsret 2012:1 pp. 141-14972.»Finanstilsynets afgørelser 2011, 2. halvår - børsområdet« [Decisions of the Financial Supervisory Authority 2011 2. halfyear – the exchange sector], Nordisk Tidsskrift for Selskabsret 2012:1 pp. 150-15973.»Jyske Hedge - spørgsmål om bevisbyrde og børsretlig oplysningspligt« [Jyske Hedge – Question of burden of proof and disclosure obligation], (co-author Nina Dietz Legind) Erhvervsjuridisk Tidsskrift 1/2012 pp. 49-5674.»First North-selskaber og informationsforpligtelsen til markedet - 2« [First North companies and the requirements for market disclosure - 2] in Juridiske Emner ved Syddansk Universitet 2011, Hans Viggo Godsk Pedersen (ed.) pp. 9-2975.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2011, 1. halvår« [NASDAQ OMX, Copenhagen – Decisions and statements 2011, 1. halfyear], Nordisk Tidsskrift for Selskabsret 2011:2 pp. 55-6176.»Finanstilsynets afgørelser 2011, 1. halvår - børsområdet« [Decisions of the Financial Supervisory Authority 2011 1. halfyear – the exchange sector], Nordisk Tidsskrift for Selskabsret 2011:2 pp. 62-6877.»Finanstilsynets afgørelser 2010, 2. halvår - børsområdet« [Decisions of the Financial Supervisory Authority 2010, 2. halfyear – the exchange sector], Nordisk Tidsskrift for Selskabsret 2011:1 pp. 1-978.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2010« [NASDAQ OMX, Copenhagen – Decisions and statements 2010], Nordisk Tidsskrift for Selskabsret 2011:1 pp. 10-2179.»Kunders retsstilling ved investering i værpapirer« [Costumers legal position when investing in securities], (co-authors) finans/invest 02/2011 pp. 11-1780.»Pengeinstitutankenævnets praksis – i lyset af Jyske Hedge-sagerne« [Practice of the Danish Complaint Board of Banking Services – in light of the Jyske Hedge-cases], (co-authors) Erhvervsjuridisk Tidsskrift 4/2010 pp. 335-34881.»Finanstilsynets afgørelser 2010 - børsområdet« [Decisions of the Financial Supervisory Authority 2010 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2010:2 pp. 25-3282.»Markedsføring, rådgivning og salg – Finanstilsynets nye og skærpede praksis« [Marketing, advice and sales – The new and stricter practice of the Danish Financial Supervisory Authority], finans/invest 03/2010 pp. 10-1583.»NASDAQ OMX, Copenhagen - Afgørelser og udtalelser 2009« [NASDAQ OMX, Copenhagen – Decisions and statements 2009], Nordisk Tidsskrift for Selskabsret 2010:1 pp. 29-5184.»Finanstilsynets afgørelser 2009 - børsområdet« [Decisions of the Financial Supervisory Authority 2009 – the exchange sector], Nordisk Tidsskrift for Selskabsret 2010:1 pp. 16-2885.»Koncernbegrebet og tilbudspligtens indtræden – et misforstået forsøg på parallelitet i selskabs- og børsretten« [The concept of the corporate group and the triggering of mandatory takeover bids – a misunderstood parallel between company law and exchange law], (co-author Karsten Engsig Sørensen) Ugeskrift for Retsvæsen 2010 B 60-68 86.»Kursmanipulation – Status og perspektivering med udgangspunkt i dansk ret« [Share price manipulation – Status and perspectives based on Danish law] (co-author David Moalem) Nordisk Tidsskrift for Selskabsret 2009:4 pp. 91-12587.»Det børsnoterede selskab – mellem selskabsret og børsret« [The listed company – between company law and exchange law] in Mette Neville & Karsten Engsig Sørensen (Ed.) Den nye selskabslov [The new company law] 2009 pp. 319-34888.»First North-selskaber og informationsforpligtelsen til markedet« [First North companies and the requirements for market disclosure] in Juridiske Emner ved Syddansk Universitet 2009, Hans Viggo Godsk Pedersen (ed.) pp. 123-3689.»NASDAQ OMX Copenhagen Afgørelser og udtalelser 1. januar – 31. december 2008« [NASDAQ OMX, Copenhagen – Decisions and statements 1 January – 31 December 2008], Nordisk Tidsskrift for Selskabsret 2008:4 pp. 33-4890.»Nye harmoniserede oplysningsforpligtelser på OMX-børserne« [New harmonised disclosure requirements for OMX stock exchanges], Nordisk Tidsskrift for Selskabsret 2008:2 pp. 28-4491.»Nye oplysningsforpligtelser på Fondsbørsen« [The new stock exchange disclosure rules], finans/invest 05/2008 pp. 18-2492.»OMX Den Nordiske Børs København Afgørelser og udtalelser 1. januar – 31. december 2007« [OMX Nordic Stock Exchange – Copenhagen - Decisions and statements 1 January – 31 December 2007], Nordisk Tidsskrift for Selskabsret 2008:1 pp. 37-5193.»Implementering af MiFID-direktivet i dansk ret« [Implementing the MiFID Directive in Danish law] (co-author), in Juridiske Emner ved Syddansk Universitet 2007, Hans Viggo Godsk Pedersen (ed.) pp. 180-20394.»Københavns Fondsbørs Afgørelser og udtalelser 1. januar – 31. december 2006« [Copenhagen Stock Exchange - Decisions and statements 1 January – 31 December 2006], Nordisk Tidsskrift for Selskabsret 2007:1 pp. 24-3695.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli – 31. december 2005« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2005], Nordisk Tidsskrift for Selskabsret 2006:2 pp. 24-3196.»Københavns Fondsbørs Afgørelser og udtalelser 1. januar – 30. juni 2005« [Copenhagen Stock Exchange - Decisions and statements 1 January – 30 June 2005], Nordisk Tidsskrift for Selskabsret 2005:3 pp. 23-3397.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli – 31. december 2004« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2004], Nordisk Tidsskrift for Selskabsret 2005:1 pp. 46-5898.»Værdipapirhandel – en ejendoms- og panteretlig udfordring« [Securities trading – a challenge to property law and securities law], in Juridiske Emner ved Syddansk Universitet 2005, Hans Viggo Godsk Pedersen (ed.) pp. 24-3699.Københavns Fondsbørs Afgørelser og udtalelser 1. januar – 30. juni 2004« [Copenhagen Stock Exchange - Decisions and statements 1 January – 30 June 2004], Nordisk Tidsskrift for Selskabsret 2004:3 pp. 244-248100.»Er en dansk børsreform III mulig?« [Is a third Danish financial market reform possible?], Ugeskrift for Retsvæsen 2004 B 292-298101.»Slet og ret – om sletning af børsnoterede værdipapirer« [Revocation and the law – on the revocation of listed securities] pp. 127-144 in »Festskrift til Ole Bjørn« [Festschrift in honour of Ole Bjørn] (Susanne Pedersen, Nis Jul Clausen & Søren Friis Hansen, eds.) DJØF’s Forlag, 2004102.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli - 31. december 2003« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2003], Nordisk Tidsskrift for Selskabsret 2004:1 pp. 28-39103.»Københavns Fondsbørs Afgørelser og udtalelser 1. januar - 30. juni 2003« [Copenhagen Stock Exchange - Decisions and statements 1 January – 30 June 2003], Nordisk Tidsskrift for Selskabsret 2003:3 pp. 285-94.104.»Nye udfordringer for den børsretlige regulering« [New challenges for financial market regulation], in Hyldestskrift til Jørgen Nørgaard [Festschrift in honour of Jørgen Nørgaard], Torsten Iversen, Lars Hedegaard Kristensen & Erik Werlauff (eds.), (2003) pp. 415-430.105.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli - 31. december 2002« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2002], Nordisk Tidsskrift for Selskabsret 2003:1 pp. 20-24.106.»Eliminering af (visse) barrierer for overtagelsestilbud - nyt udkast til direktiv om overtagelsestilbud« [Eliminating (certain) barriers to takeover bids – a new draft for a directive on takeover bids], (co-author Karsten Engsig Sørensen) Ugeskrift for Retsvæsen 2003 B 25-34.107.»Nyt prospektdirektiv på vej - skærpede krav og ny reguleringsmodel« [A new Prospectus Directive is on its way – stricter requirements and a new model of regulation], pp. 26-39 in Juridiske emner ved Syddansk Universitet 2003, Bent Iversen (ed.).108.»Københavns Fondsbørs Afgørelser og udtalelser 1. januar - 30. juni 2002« [Copenhagen Stock Exchange - Decisions and statements 1 January – 30 June 2002], Nordisk Tidsskrift for Selskabsret 2002:3 pp. 287-297.109.»Københavns Fondsbørs skærper investeringsforeningernes oplysningsforpligtelse« [Copenahgen Stock Exchange tightens up the information requirements for investment funds], finans/invest 2002 No 4 pp. 21-25.110.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli - 31. december 2001« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2001], Nordisk Tidsskrift for Selskabsret 2002:2 pp. 137-146.111.»Børsmæglerforeningens nye anbefalinger«, [The new recommendations of the Danish Securities Dealers Association], Finans & samfund 2002 No 6/7 pp. 24-26.112.»Københavns Fondsbørs Afgørelser og udtalelser 1. januar -30. juni 2001« [Copenhagen Stock Exchange - Decisions and statements 1 January – 30 June 2001], Nordisk Tidsskrift for Selskabsret 2001:4 pp. 385-394.113.»Hard cases makes bad laws? - To eksempler fra børsretten« [Hard cases make bad laws? - Two examples from financial market law], UfR 2001 B 385-391.114.»Københavns Fondsbørs Afgørelser og udtalelser 1. juli-31. december 2000« [Copenhagen Stock Exchange - Decisions and statements 1 July – 31 December 2000], Nordisk Tidsskrift for Selskabsret 2001:2 pp.129-137. 115.»Børsrettens territoriale anvendelse - reflektioner over retsstillingen i Danmark« [The territorial application of financial market law – reflections on the legal position in Denmark] pp. 39-55 in Juridiske emner ved Syddansk Universitet 2001, Bent Iversen (ed.).116.»Samarbejde mellem fondsbørser« [Cooperation between stock exchanges], Nordisk Tidsskrift for Selskabsret 2000:3/4 pp. 252-271 (co-author Karsten Engsig Sørensen).117.»Om forældelse af tilbagesøgningkrav på afgifter« [On the period of limitation for claiming tax refunds] Festskrift til Aage Michaelsen [Festschrift in honour of Aage Michaelsen] pp. 139-150, (2000) (co-author Hans Viggo Godsk Pedersen).118.»Nye selskabsretlige fremstillinger i Danmark« [New company law writings in Denmark] Nordisk Tidsskrift for Selskabsret 2000:2 pp. 123-25.119.»Overtagelsestilbud og grænseoverskridende notering« [Takeover bids and cross-border listings] Nordisk Tidsskrift for Selskabsret 1999:1 pp. 81-90 (co-author Karsten Engsig Sørensen).120.»Skærpet oplysningspligt for børsnoterede selskaber« [Stricter disclosure requirements for listed companies] finans/invest 1999 No 5 pp. 11-15.121.»Aktionærernes oplysningspligt - i lyset af Thorsen-sagen« [Shareholders’ disclosure requirements – in the light of the Thorsen case] finans/invest 1999 No 4 pp. 27-28.122.»Majoritetsovertagelse og tilbudspligt - også et spørgsmål om oplysningspligt« [Acquisition of a majority shareholding and the obligation to make a bid – a question of a duty of disclosure] pp. 24-37 i Juridiske Emner ved Syddansk Universitet, 1999.123.»Insiderhandel - en status« [Insider dealing – the current position] UfR 1999 B 207-214 (co-author Lars Schjødt) 124.»International standard for overtagelsestilbud og tilbudspligt« [The international standard for takeover bids and the obligation to make a bid], Københavns Fondsbørs’ Månedsrapport, No 319, dec. 1998 pp. 18-21.125.»Best execution - kundens bedste interesse eller det der ligner?« [Best execution – the client’s best interest or something like it?] Festskrift til juridisk klub 1988-1998 pp. 21-30.126.»Regulering af overtagelsestilbud« [The regulation of takeover bids] UfR 1998 B 406-412 (co-author Karsten Engsig Sørensen).127.»Best execution - nye regler fra Københavns Fondsbørs« [Best execution – the new Copenhagen Stock Exchange Rules], finans/invest No 2/1998 pp. 19-22.128.»Best execution - gabestok for handlere eller investorer?« [Best execution – a stick with which to beat traders and investors?] in Ruth Nielsen (ed.) »Julebog 1997” [Christmas book 1997], 1997 pp. 7-28.129.»Offentlige tilbud om majoritetsovertagelse - overvejelser i forbindelse med Phønix-sagen« [Public offers to acquire majority shareholdings – thoughts in connection with the Phønix case], UfR 1997 B 367-378.130.»Børsnoterede selskaber - kan markedet regulere sig selv?« [Listed companies – can the market regulate itself] in Paul Krüger Andersen (ed.) »Selskabers Organisation - Nye tendenser i skandinavisk selskabsret 2« [The organisation of companies – new trends in Scandinavian company law 2], 1997 pp. 65-90.131.»Fondsbørsers prospektansvar - en kommentar« [Liabiblity for stock exchange prospectuses – a commentary], Revision & Regnskabsvæsen 1997 No 4, pp. 48-52.132.»Privat- og offentligretlig regulering i selskabs- og børsretten« [Private and public regulation in company and financial market law] in Ellen Margrethe Basse & Henrik Zahle (eds) »To retstraditioner - Om sondringen mellem offentlig ret og privatret« [Two legal traditions – on the distinction between public law and private law], 1996, pp. 127-156.133.»Den børsretlige detailregulering« [Financial market regulation of retail trading], Revision & Regnskabsvæsen 1996 No 11, pp. 9-20.134.»Den børsretlige regulering - fra etiske regler til retsregler« [Financial market regulation – from ethical rules to legal rules], Finanstilsynets års-beretning 1995 pp. 31-37.135.»Børsreform II's lovkompleks vedtaget« [The adoption of the Financial Market Law Reform II package], finans/invest 1996 No 1, pp. 23-26.136.»Første dom om insiderhandel - rækkevidde og konsekvenser« [The first judgment on insider dealing – its extent and consequences], UfR1995B 466-471.137.»Børsreform II - Forslag til lov om værdipapirhandel« [Financial Market Law Reform II – proposal for a law on securities trading], Revision & Regnskabsvæsen 1995 No 10, pp. 21-30.138.»Første dom om insiderhandel« [The first judgment on insider dealing], Københavns Fondsbørs' Månedsrapport, August 1995 pp. 28-31.139.»Afgørelser og Udtalelser fra Københavns Fondsbørs« [Copenhagen Stock Exchange - Decisions and statements], Revision & Regnskabsvæsen 1995 No 8, pp. 9-18.140.»Børsreform II - Hovedpunkter i den fremtidige lovgivning« [Financial Market Law Reform II – the main points for future regulation], finans/invest 1995 No 4, pp. 5-11.141.»Nogle betragtninger om børsretlig regulering« [Some thoughts on financial market regulation], Juristen 1993 pp. 395-403, temanummer Regulering og Styring [Special issue on regulation and management].142.»Interne regler - fremtidens model til at sikre overholdelse af børsreglerne« [Internal rules – the future model for ensuring compliance with financial market rules], Det børsretlige fremtidsperspektiv, 1993 pp. 44-48.143.»Skærpede krav til udformning af denunciation?« [Stricter rules for the formulation of a denunciation?], UfR 1992 B 357-360.144.»Nye børsetiske regler og oplysningsforpligtelser for udstedere af børsnoterede værdipapirer« [New ethical rules and disclosure requirements for the issuers of listed securities], Revision & Regnskabsvæsen 1992, No 2, pp. 23-27.145.»Egne aktier« [A company’s ownership of its own shares], Revision & Regnskabsvæsen 1991 No 11, pp. 20-30. »Nødvendigt med retsregler for insider-handel« [The need for legal rules on insider dealing], Lov & Ret 1991 No 2, pp. 33-35.146.»Insidertrading - et problem også for advokater« [Insider dealing – also a problem for lawyers], Advokaten 1990 No 10, pp. 213-220.147.»Finansiering via selskabsopsplitning« [Financing by demerger] Revisionsorientering F 17, 1989, pp. 1-18.148.»Kan insider trading afsløres?« [Can insider dealing be uncovered?], Fagskrift for Bankvæsen 1989, pp. 24-28.149.»Fondsbørslovens § 39 i lyset af amerikansk insiderret« [Section 39 of the Law on the financial market in the light of the US law on insider dealing], Advokaten 1988 No 22, pp. 413-416.150.»Virksomhedsovertagelse - fremtidens retlige problem for virksomhedsledere« [Takeovers – future legal problems for business managers], Odense Universitets årsberetning 1988 pp. 10-22.151.»Selskabsledelsen og take-overs - problemer og løsninger i USA« [Company management and takeovers – problems and solutions in the USA], Revision & Regnskabsvæsen 1988 No 11, pp. 50-53.152.»Revisorhonorar som sekundært massekrav, konkurslovens § 94« [Auditors’ fees as secondary preferential claims, Section 94 of the Law on insolvency], Revision & Regnskabsvæsen 1988 No 4, pp. 11-14.153.»Faktiske forhold af betydning ved anvendelsen af ‘Piercing the Corporate Veil’-doktrinen i U.S.A.« [The practical effect of applying the ’Piercing the Corporate Veil’ doctrine in the USA], Tidsskrift for Rettsvitenskap 1987 pp. 955-973.154.»Det selskabsretlige og konkursretlige koncernbegreb« [The concept of the corporate group in company law and insolvency law], Ugeskrift for Retsvæsen 1987 B 417-424.155.»Identifikation ved finansiering via selskabsopsplitning« [Identification with financing by demerger], Ugeskrift for Retsvæsen 1987 B 82-86.Bookreviews (in Danish):156.Troels Michael Lilja: Filialbegrebet [The concept of subsidiaries], UfR 2010 B 220-221157.Jakob Juul-Sandberg: Det lejedes værdi [The valuation of leased assets], UfR 2008 B 79-80.158.Camilla Hørby Jensen: Retsfortabende passivitet – hvorfor, hvornår, hvordan? [Loss of legal rights through passivity – why, when and how?], UfR 2008 B 78-79.159.Peer Schaumburg-Müller: Kapitalmarkedsret – En analyse af virksomhedsområde- og god skik begreber i dansk kapitalmarkedsret [Capital market law – an analysis of the concepts of the business area and best practice in Danish capital market law], UfR 2005 B 42-44.160.Nina Dietz Legind: Privat kaution – behovet for en kodifikation af privat kaution for banklån [Private guarantees – the need for codification of private guarantees for bank loans], Tidsskrift for Retsvidenskap 2002 pp. 819-828. 161.Paul Krüger Andersen: Aktie- og Anpartsselskabsret, [Public and Private Company Law] 7. udg. 2002, Nordisk Tidsskrift for Selskabsret 2002: 4 p. 393 November, 2017

Forskningsområde

Formueret i særlig grad dansk og international børsret, værdipapirhandelsret og selskabsret samt bank- og kreditret.

Forskningsinformation

Formueret og i særlig grad dansk og international børsret, værdipapirhandelsret og selskabsret samt bank- og kreditret. Se under Curriculum med publikationsliste.

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Publikationer 1999 2019

Bankledelsens konpetence og ansvar: Har Finanstilsynet og domstolene forskelligt syn på sanktionsanvendelsen?

Clausen, N. J., apr. 2019, I : Finans/Invest. 2019, 2, s. 19-25 7 s.

Publikation: Bidrag til tidsskriftTidsskriftartikelForskningpeer review

Børsretten

Krüger Andersen, P., Clausen, N. J. & Hansen, J. L., jan. 2019, 6. udg. København: Djøf Forlag. 668 s.

Publikation: Bog/antologi/afhandling/rapportBogForskningpeer review

Det danske retsopgør efter finanskrisen: en foreløbig status

Clausen, N. J., 2018, Nordiska förmögenhetsrättsdagarna. Kleineman, J. (red.). Stockholm: Jure, s. 39-63 (Stockholm Centre for Commercial Law , Bind 29).

Publikation: Bidrag til bog/antologi/rapport/konference-proceedingBidrag til bog/antologiForskning

Fordringer

Clausen, N. J., 2018, Dansk Privatret. Birkmose, H. S. (red.). 20. udg. København: Djøf Forlag, s. 365-395

Publikation: Bidrag til bog/antologi/rapport/konference-proceedingBidrag til bog/antologiFormidling

Introduktion

Clausen, N. J., 2018, Dansk Privatret. Birkmose, H. S. (red.). 20. udg. København: Djøf Forlag, s. 541-550

Publikation: Bidrag til bog/antologi/rapport/konference-proceedingBidrag til bog/antologiFormidling

Aktiviteter 1995 2018

Formueretlige principper i forskningen - forskning i formueretlige principper

Nis Jul Clausen (Paneldeltager)
21. nov. 2018

Aktivitet: Deltagelse i faglig begivenhedOrganisering af eller deltagelse i workshop, kursus, seminar eller lignende

Linköping University (Ekstern organisation)

Nis Jul Clausen (Medlem)
1. jun. 201811. okt. 2018

Aktivitet: MedlemskabMedlemskab af bedømmelsesudvalg

Linköping University (Ekstern organisation)

Nis Jul Clausen (Formand)
okt. 2017dec. 2017

Aktivitet: MedlemskabMedlemskab af bedømmelsesudvalg

Nordiske Formueretsdage

Camilla Hørby Jensen (Deltager), Nina Dietz Legind (Deltager), Nis Jul Clausen (Deltager), Hans Viggo Godsk Pedersen (Deltager), Minie Andersen (Deltager)
26. apr. 201728. apr. 2017

Aktivitet: Deltagelse i faglig begivenhedOrganisering af eller deltagelse i konference

pH.d.-kursus

Nis Jul Clausen (Deltager)
29. nov. 2016

Aktivitet: Deltagelse i faglig begivenhedOrganisering af eller deltagelse i konference

Projekter 2002 2019

New Trading Pattern For lested Securities on the Nordic Market

Clausen, N. J.

02/08/201131/12/2012

Projekter: ProjektForskning

Frikøbsordning for Nis Jul Clausen

Clausen, N. J.

18/12/200231/12/2019

Projekter: ProjektForskning

Presse/medie

Nordea involveret i BK Medical-sag

Nis Jul Clausen

19/07/2016

1 element af Mediedækning

Presse/medie

Nordea stillede ikke spørgsmål ved overførsler

Nis Jul Clausen

19/07/2016

2 elementer af Mediedækning

Presse/medie

Måske skulle Nordea have reageret

Nis Jul Clausen

19/07/2016

1 element af Mediedækning

Presse/medie

Hellerup Finans meldt til politiet

Nis Jul Clausen

16/01/2016

1 element af Mediedækning

Presse/medie

Priser

Modtager af Fyens Stiftstidendes Forskerpris, 1999.

Nis Jul Clausen (Modtager), 1. okt. 1999

Pris: Priser, stipendier, udnævnelser

permanent scholar in residence, school of law, Duke University, USA

Nis Jul Clausen (Modtager), 1. apr. 1995

Pris: Priser, stipendier, udnævnelser

Undervisning og vejledning

Formueret

Lone Hansen & Nis Jul Clausen

01/09/201331/01/2018

Kursus: Undervisning

Formueret

Nis Jul Clausen & Lone Hansen

01/09/201331/01/2018

Kursus: Undervisning