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Trading hours
Official trading hours (local time) | Market | Copenhagen | Stockholm | Helsinki | Iceland | NASDAQ OMX Russian | NASDAQ OMX Norwegian | | Equities | 09:00-17:001) | 09:00-17:301) | 10:00-18:301) | 09.30-15:301) | | 09:00-17:201) | | Derivatives | 09:00-16:552) | 09:00-17:252) | 10:00-18:25 | | 08:15-15:30 | 09:00-17.20 | Equity rights | 09:00:30-17:001) | 09:00:30-17:25 | 10:00:30-18:25 | 09:30-15:301) | | | | Convertibles | | 09:00:30-17:25 | | | | | | Warrants and Certificates | 09:00-17:001) | 09:00:30-17:25 | 10:00-18:25 | | | | | ETF, Investment Funds and other Collective Investment Schemes | 09:45-17:001) | 09:00:30-17:25 | 10:00:30-18:25 | 09.30-15:301) | | | | AtpListen | 09:00:30-17:00 | | | | | | | First North | 09:00:30-17:001) | 09:00:30-17:301) | | 09.30-15:301) | | | | First North Convertibles | | 09:00:30-17:301) | | | | | | Bonds | 08:30-17:00 | 09:00-16:15 | 10:00-18:20 | 09.30-15:30 | | | | Premium (lottery) bonds | | 10:00-15:30 | | | | | | Bulletin board | 08:00-17:30 | 08:30-16:20 (Trade reporting 07:00-08:30 and 16:21-18:00) | | | | | After trade 1 18:31-19:00 After trade 2 08:30-09:45 Morning call 09:45-10:00 1) = Last five minutes: no order matching; final uncross takes place randomly during last 30 seconds of this five minutes period. 2) = closing call auction in index futures at a random time 60 to 90 seconds after end of continuous trading. Half day trading hours | The Stock Market | 09:00-13:001) (Post trade starts at CET 13:00, closed 13:30) | | Derivatives | 09:00-12:55 | | Bonds | 09:00-12:00 | | Premium bonds | 10:00-13:00 | Exchange holiday schedule 2010
| | Market closed | Half day trading | | Copenhagen | 1/1, 1/4, 2/4, 5/4, 30/4, 13/5, 14/5, 24/5, 24/12, 31/12 | - | | Stockholm | 1/1, 6/1, 2/4, 5/4, 13/5, 25/6, 24/12, 31/12 | * 5/1, 1/4, 30/4, 12/5, 5/11 | | Helsinki | 1/1, 6/1, 2/4, 5/4, 13/5, 25/6, 6/12, 24/12, 31/12 | - | | Iceland | 1/1, 1/4, 2/4, 5/4, 22/4, 13/5, 24/5, 17/6, 2/8 24/12, 31/12 | - | * The Fixed income market in Stockholm also have these half days: 24/6, 23/12, 30/12 (not including Premium Bonds)
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