The modern share market is characterized by an increased globalization and complexity, and two tasks are rarely identical. In addition, disclosure requirements and the rules on prospects and offerings of securities are becoming increasingly technical. In other words, compliance becomes ever more important in this field as well.
Our group of specialists within Corporate Finance and Capital Markets has a broad knowledge and significant experience in the regulatory system of the share market. For each individual assignment we put together the team with the right joint specialist knowledge, and at the same time ensuring our clients the optimal case handling. When necessary, we take the cases to court; representing a sole investor, an undertaking, or a full class.
We handle all kinds of legal issues concerning the share market and corporate law, for example:
- Public takeover bids and mergers
- Stock exchange listings
- Various types of capital raising (e.g. private placements)
- Corporate governance
- Regulatory compliance
- Information issues
- Insider and issues
- Incentive programmes
- Financial licensing issues
- Damages for losses incurred for failure to comply with relevant regulations
Our clients include companies, funds, investors, and other players on the national as well as the international markets.
NJORD Law Firm’s integrated practice is jointly led by Kim Høibye and Jørgen Erik Frandsen. Clients include Trefor, Nykredit and Nordea Markets.