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In Denmark, a specific Act for the protection of utility models was introduced in 1992. The regulation of utility models in Danish law has been elaborated in close connection with the Danish patent law. Even though the rules are enacted separately, the wording of the Patent Act and the Utility Model Acts is similar. The interaction between the two systems is built into the design of the Acts. For example, branching-off from a patent application or patent under opposition to a utility model application is permitted. The core area for utility models is the protection via registration of “minor inventions”. These differ from “real patents” mainly by having a lower threshold for “inventive step”. Whereas an “invention” to be patentable must differ “essentially”, a “creation” should only differ “distinctly” from the state of the art. Moreover, utility model protection can be obtained without substantive examination whereas patent protection always requires a full evaluation both of the formal and substantive requirements. The term of protection for utility models is less than that of a patent. Since 1998, there has been a decline in the demand for utility model protection in Denmark.
An abundance and diverse range of prehistoric fishing practices was revealed during excavations between 2012 and 2022 at the construction site of the Femern Belt Tunnel, linking the islands of Lolland (Denmark) and Femern (Germany). The waterlogged parts of the prehistoric Syltholm Fjord yielded well preserved organic materials, including the remains of wooden fish traps and weirs, and numerous vertical stakes and posts driven into the former seabed – evidence of long term fishing practices using stationary wooden structures from the Mesolithic to the Bronze Age (c. 4700–900 cal BC). Here, we present the results of a detailed study on these stationary wooden fishing structures, making this the most comprehensive and detailed description of prehistoric passive fishing practices in Syltholm Fjord to date. The exceptional scale of the excavated area (57 ha) and abundance of organic materials encountered during excavations provides us with a rare opportunity to identify individual weir systems and information on their construction, maintenance, and use. To contextualise further, we provide an up-to-date compilation of comparable finds in the Danish archaeological record, including a dataset of directly dated specimens, based on both published and unpublished sources. Our results show that stationary wooden fishing structures are an invaluable archaeological resource, and their study, combining landscape reconstruction, ethnographic analogy, and fishing technology, together with artefactual evidence and radiocarbon dating, allows us to reconstruct prehistoric fishing strategies in depth. Due to the long chronology and diversity of the study materials, our results complement previous research on the many nuances and regional specificities of the persistence of fishing practices in the western Baltic Sea over time, despite introductions of new cultures, populations, and livelihoods. Finally, we emphasise that the Neolithisation process in Northern Europe was not as straightforward and uniform in terms of subsistence as commonly assumed.
Major spent his career in a strategic borderland where knowledge was embroiled in long-running territorial disputes. Competing princes built collections, laboratories, and intelligence-gathering networks in attempts to strengthen the resources of the land and their hold upon it. Their rival attempts to found global colonies and establishing long-distance trading networks entangled tightly with their global collections. The Gottorf dukes intended the new university to be another fixture of a state-building apparatus that already included glassworks, a chymical laboratory, extensive gardens, a celebrated collection, a planetarium, and an impressive library. These nearby facilities offered the University of Kiel sophisticated resources. They also illustrated the dangers of intertwining knowledge tightly with use. The shifting political situation allowed and even required scholars to seek beyond a single patron for support. This setting can illuminate Major’s attempts to defend academic independence, to develop audiences across rival states and a broader public, and to develop "unprejudiced" approaches.
When and how do party politics matter in junior allies’ decisions to engage in multinational military operations? Developing a new role theory model of party politics and multinational military operations, we put forward a two-level argument. First, we argue that the rationale for military action is defined in a contest between political parties with expectations of what constitutes the proper purpose (constitutive roles) and functions (functional roles) of the state. Second, we hold that material and ontological insecurities reduce political space for contestation and debate, but that junior allies tend to focus on role demands for ‘good states’ and ‘good allies’ rather than the nature and aim of the military operation. To unpack our argument, we analyse the debate among political parties in Romania and Denmark leading up to the invasion of Iraq in 2003. Concluding our analysis, we outline the implications for the changing security order and current debates in NATO member states on how to respond to the Russian invasion of Ukraine.
Denmark is a Scandinavian country of 5.8 million inhabitants. It is a constitutional monarchy, and state powers are divided between the parliament (legislative), the government (executive), and the courts (judiciary). The rule of law is a fundamental principle in the Danish legal system. Denmark is one of the richest countries in the world, and presumably also among the happiest. In the area of digitalisation, Denmark is among the most digitalised countries in the EU as well as globally.
This article reconstructs and analyses the conceptual history of “the people” [Folket] in modern Danish history. It applies qualitative and quantitative methods to analyze new data and archival materials and provides a detailed study of the construction, development and central role of populist conceptions of “the people” in the constitutional struggles between 1830 and 1920 that transformed Denmark from an absolute monarchy into a parliamentary democracy. I argue that these populist conceptualizations of “the people” shaped and fostered the emergence of the ideas and practices of parliamentary democracy as “the people’s rule” [Folkestyre]. This case study thereby challenges contemporary assumptions about an inherently adversarial relationship between populism and democracy. Moreover, it makes a number of empirical and analytical contributions to the existing historiography, as well as the literature on the construction of “the people,” democracy and populism.
Chapter 11 looks at the much smaller World War II reparations to the Allies. The Allies had learnt from previous reparations disasters and focused on the de-industrialisation of Germany and Japan. Only small reparations were actually paid, and the transfers were offset by US loans from the Marshall Plan. I show how even though reparations were agreed, they were not necessarily paid, using a case study of German reparations to Denmark.
During the third millennium BC, new types of anthropogenic landscape emerged across northern Europe: heathlands and pasture. These open landscapes afforded mobile pastoralism and the arena for a new funerary practice: barrow building. Here, the authors define this entanglement of people, animals and landscapes as a literal and figurative ‘ancestral commons’. Focusing on western Jutland, they combine palaeoecological and archaeological evidence to characterise the form and temporal depth of the co-emergent links between pastoralism, barrows and mobility. Conceptualising the ancestral commons as a deep-time entanglement, characterised by rhythms of physical and metaphorical movement, reveals a landscape that afforded shared understanding of the ancestral past and a foundation for the subsequent Nordic Bronze Age.
Health systems internationally face demands to deliver care that is better coordinated and integrated. The health system financing and delivery model may go some, but not all the way in explaining health system fragmentation. In this paper, we consider the road to care integration in two countries with Beveridge style health systems, England and Denmark, that are both ranked as highly Integrated systems in Toth's health integration index. We use the SELFIE framework to compare the policies and reforms that have affected care integration over the past 30 years in the two countries. The countries both started their reform path by reforming to introduce choice and competition, but did so in different ways that set them on different pathways. Nevertheless, after two decades, the countries ended the period with largely similar structures that emphasised the creation of a cross-sectoral governance structure. In the relatively centralised England, by introducing decentralised Integrated Care Systems, and in the relatively decentralised Denmark with a centralising element in the form of new Health Clusters.
During the tenth century AD, Harald Bluetooth ruled Denmark from the royal seat at Jelling. The two extant Jelling mounds are traditionally associated with Harald's parents, Gorm and Thyra, about whom we know little. Unusually, the name Thyra appears on both Jelling runestones and on several others from the region. If all refer to the same person, she would be commemorated on more runestones than anyone else in Viking-Age Denmark. The authors use 3D-scanning to study rune carving techniques, combined with analyses of orthography and language, concluding that the Jelling 2 and Læborg stones are linked by the hand of the carver Ravnunge-Tue. The results suggest Thyra played a pivotal role in the emergence of the Danish state.
In 1939 John Gielgud visited Denmark to perform Hamlet at Kronborg Castle in Elsinore, a location closely associated with the setting of Shakespeare’s famous play. A photograph of Gielgud and Fay Compton, who played Ophelia in the production, shows the two actors posing in front of a stone relief of Shakespeare, which was unveiled at Kronborg during their visit to mark what was clearly intended as both a cultural and a diplomatic exchange between Denmark and the UK at this tense moment in European history. This essay suggests that Gielgud’s performance in Elsinore and the events that surrounded it were ‘haunted’ in different ways, both by the memory of the previous war and by the fear of the war rapidly approaching. It shows how several factors – the location, the play, the historical moment between two world wars – would have created a particularly resonant intersection between ‘Shakespeare’ and ‘war’.
A register-based retrospective observational study was conducted to describe SARS-CoV-2 cases and case-clusters in schoolchildren of Danish primary and lower secondary schools and identify which factors were associated with the occurrence of case-clusters in schools. The study period was the autumn school semester 2021. Clusters were defined as three or more cases in a school-class level within 14 days. Descriptive analysis was carried out and multivariable logistic regression analysis was performed to determine which factors were associated with case introductions (i.e., primary case) being linked to a cluster. More cases and clusters were identified in lower than in higher class levels. Out of 21,497 cases introduced into a school, 41.6% started a cluster. A higher assumed immunity level in a class level was significantly reducing the odds of a case introduction being linked to a cluster (e.g., assumed immunity of ≥80% vs <20%: OR: 0.28; 95%CI: 0.17–0.44). A previous infection (in the primary case) had a protective effect (OR: 0.58; 95%CI: 0.33–0.99). This study suggests that most cases appearing in schools did not induce clusters, but that once cluster occur sizes can be large. It further indicates that vaccination of children markedly reduces the risk of secondary infections.
Intermittent fever is a historical diagnosis with a contested meaning. Historians have associated it with both benign malaria and severe epidemics during the Early Modern Era and early nineteenth century. Where other older medical diagnoses perished under changing medical paradigms, intermittent fever ‘survived’ into the twentieth century. This article studies the development in how intermittent fever was framed in Denmark between 1826 and 1886 through terminology, clinical symptoms and aetiology. In the 1820s and 1830s, intermittent fever was a broad disease category, which the diagnosis ‘koldfeber’. Danish physicians were inspired by Hippocratic teachings in the early nineteenth century, and patients were seen as having unique constitutions. For that reason, intermittent fevers presented itself as both benign and severe with a broad spectrum of clinical symptoms. As the Parisian school gradually replaced humoral pathology in the mid-nineteenth century, intermittent fever and koldfeber became synonymous for one disease condition with a nosography that resembles modern malaria. The nosography of intermittent fever remained consistent throughout the second half of the nineteenth century. Although intermittent fever was conceptualized as caused by miasmas throughout most of the nineteenth century, the discovery of the Plasmodium parasite in 1880 led to a change in the conceptualization of what miasmas were. The article concludes that the development of how intermittent fever was framed follows the changing scientific paradigms that shaped Danish medicine in the nineteenth century.
In this article, I take up the case of runic writing to reflect upon James Scott’s view of the nexus between writing and various forms of domination in early states, especially the use of literacy for taxation in cereal-growing societies. Scott’s theses provide interesting matter “to think with,” even when his grasp of historical detail has been found wanting. It is not controversial to grant Scott that cuneiform writing was a remarkable tool for statecraft, and exploitation, in the first states of Mesopotamia, around 3500 BC. The same is true of writing in other early states. But in the first states of Scandinavia, particularly Denmark ca. AD 500–800, writing had a more troubled relationship with the state. No evidence survives that runic writing was used to administer taxation or much else, as it was in other agrarian civilisations. It is true that the runic script was used to commemorate kings, most famously by Haraldr Blátǫnn (r. ca. 958–ca. 986.). But, statistically speaking, it was more often used to aggrandize the sort of local big men who usually resisted centralized power. In this article, I survey the relationship between runic writing and administration. I consider what the Danish situation suggests about the relationship between states and writing and offer a tentative hypothesis of a short-lived attempt at runic bureaucracy around 800, which created—and quickly lost control of—a shortened variety of the runic script (the Younger Futhark).
This chapter provides an overview of the practice, research, legislation and services models across the four Nordic countries of Denmark, Sweden, Norway, Finland. There are marked differences in approaches to offenders with neurodevelopmental disorders across the Nordic countries. Most countries have defined thresholds around the functioning of the person in considering a person criminally irresponsible. Still, the approach to identification, care and treatment of offenders with these conditions within the criminal law remains unclear. Treatment facilities reflect the legislation and policy of the country with for example an inclusive perspective as in Sweden which provides no separate treatment facilities for offenders with intellectual disability (ID) or neurodevelopmental disorders. However, Norway and Denmark have taken a different approach and developed special care and treatment units for people with neurodevelopmental disorders who commit offences.
Late medieval Europeans extended exploitation of fish stocks to marine frontiers previously little affected by intense human predation. Driven by demand since the twelfth century and supported by waves of innovative capture and preservation methods, herring fisheries in the North Sea and Baltic fed millions of northern Europeans with the largest medieval catches known. Stockfish (naturally freeze-dried cod) from arctic Norway went from a regional subsistence product c.1100 to an export trade profiting fishers and merchants alike. Elsewhere entrepreneurs caught, preserved, and exported pike and other fish from the eastern Baltic, hake and conger from the Channel approaches and Bay of Biscay, and migratory bluefin tuna off Sicily and the Gulf of Cadiz, all for consumption a thousand and more kilometers away. Transforming local abundances for distant tables at unprecedented scale drove new capitalized forms of organization and market behaviour. Consumers, merchants, and fishers saw fish as economic objects disconnected from any familiar nature and free for competitive exploitation. Yet besides prospects of infinite abundance the new frontier fisheries posed risks, and not simply those of hazardous access or human conflict. Heavily fished local stocks of herring successively crashed to commercial insignificance when further stressed by environmental changes in the pulsating arrival of the Little Ice Age. But the almost accidental discovery of virgin cod stocks off Newfoundland in the 1490s confirmed the mythic belief that abundance always lay over the next horizon. Thoughts of limits vanished at the eve of modernity.
In the 1750s the Danish kingdom and the Moroccan Empire came into contact, and concluded a bilateral treaty. As part of the accord, a Danish chartered company was established. The company was short-lived and the “special relationship” between the two powers soon withered. A result of this episode was a handful of texts that sought to describe Morocco to a Danish audience—an adventure tale, a captive narrative, an orientalist chorography, and a biography of the emperor—which sought to produce truths about the Danish encounters with Morocco, but also truths about the place and the peoples of Morocco. The article discusses these texts, where they originated, to whom they circulated, and what they had to tell about Morocco.
The chapter describes the main nature conservation challenges in Denmark, its main policy responses and actions, and their achievements and lessons, primarily over the last 40 years. This covers the country’s natural characteristics, habitats and species of particular importance; the status of nature and main pressures affecting it; nature conservation policies (including biodiversity strategies), legislation, governance and key actors; species measures; protected areas and networks (e.g. in relation to the Green Map of Denmark); general conservation measures (e.g. development planning, and restoration of the river Skjern Å); nature conservation costs, economic benefits and funding sources; and biodiversity monitoring. Likely future developments are also identified. Conclusions are drawn on what measures have been most effective and why, and what is needed to improve the implementation of existing measures and achieve future nature conservation goals.
This chapter considers the historical development of how Greenlanders acquired political participation in their own affairs. As of 2021, most political parties in Greenland see independence as the ultimate goal. The Self-Government Act of 2009 grants the inhabitants of Greenland the right to this independence.1 My argument here is that a historical view reveals that independence can be seen as the logical next step from the current self-government. This has been attained through continual negotiations between Greenlanders and Danes since the middle of the nineteenth century, and through decolonization and independence processes as seen elsewhere in the world.