30.11.2017 15:26

Trading schedule from 4 December 2017

With effect from 4 December 2017, Moscow Exchange is changing the trading schedule for the Equities and Fixed Income Market and Deposit Market due to the Trading Rules adopted by the Supervisory Board of the Exchange on 30 June 2017 coming into force. The updated schedule is as follows (all times are Moscow time):  

Trading mode Start and end times
Central order book (all securities except bonds denominated in foreign currency):  
  • Pre-trading
09:45:00 ÷ 09:59:59
  • Continuous trading
10:00:00 ÷ 18:44:59
  • Post-trading
18:45:01 ÷ 18:49:59
·         Central order book (bonds denominated in foreign currency):  
  • Trading in bonds denominated in USD
10:00:00 ÷ 18:39:59
  • Trading in bonds denominated in currency other than USD
10:00:00 ÷ 18:44:59
Negotiated trades  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • T0, B0-B30 settlement codes
09:30:00 ÷ 18:59:59
Central order book Т+:  
  • Opening auction
09:50:00 – 09:59:59
  • Trading period (stocks, DR on stocks, OFZs, bonds denominated in USD)
10:00:00 - 18:39:59
  • Trading period (mutual fund shares, mortgage participation certificates, ETF)
10:00:00 - 18:44:59
  • Closing auction (stocks, DR on stocks, OFZs, bonds denominated in USD)
18:40:01 ÷ 18:50:00
  • Post-trading (mutual fund shares, mortgage participation certificates, ETF)
18:45:01 ÷ 18:49:59
Anonymous repo with the CCP: trading period 10:00:00 - 18:59:59
Negotiated repo with the CCP 09:30:00 ÷ 18:59:59
Deposits with the CCP – anonymous orders  
  • Entry of orders and registration of quotes
10:00:00 ÷ 18:59:59
  • Concluding deposit contracts
19:00:00 ÷ 20:45:00
Deposits with the CCP – negotiated orders  
  • Entry of orders and registration of quotes
09:30:00 ÷ 18:59:59
  • Concluding deposit contracts
19:00:00 ÷ 20:45:00
Negotiated trades with the CCP 09:30:00 ÷ 18:59:59
Settlement of trades Т+: negotiated trades 17:00:00 – until the central counterparty closes out positions under trades T+ and repos with the CCP
Settlement of trades Т+: repo 17:00:00 – until the central counterparty closes out positions under trades T+ and repos with the CCP
Settlement of derivative contracts 09:00:00 - 17:30:00
D bonds – negotiated trades  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • T0, B0-B30 settlement codes
09:30:00 ÷ 18:59:59
D bonds – central order book 10:00:00 ÷ 18:44:59
D stocks – negotiated trades  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Any settlement code except Z0
09:30:00 ÷ 18:59:59
D stocks – central order book 10:00:00 ÷ 18:39:59
  • Repo in stocks
 
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Repo in bonds  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Repo in stocks (foreign currency)  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Repo in bonds (foreign currency)  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Qualified investors – repo (foreign currency)  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Qualified investors – repo  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Rb and Sn settlement codes
09:30:00 ÷ 18:59:59
Qualified investors – negotiated trades  
  • Z0 settlement code
09:30:00 ÷ 18:30:00
  • Т0, В0-В30 settlement codes
09:30:00 ÷ 18:59:59
Qualified investors – negotiated trades with the CCP 09:30:00 ÷ 18:59:59
Qualified investors – central order book (bonds) 10:00:00 ÷ 18:44:59
Qualified investors – central order book Т+ 10:00:00 ÷ 18:39:59
Odd lots (stocks, DRs on stocks) 17:00:00 ÷ 18:39:59
Odd lots (mutual funds, mortgage participation certificates) 17:00:00 ÷ 18:44:59

 

 

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