TASE Trading Schedule
Trading hours on the Tel Aviv Stock Exchange are Sunday through Thursday as specified below (start of each trading phase).
For your convenience separate tables for each type of security/list are shown further below.
Phase |
Day |
|
|
Bonds, T-Bills, TACT - Inst., ETFs in the Bond market and Traded Foreign Funds in the Bond market |
Illiquidity & Maint. List |
Derivatives |
|
Sun-Thurs |
9:25 |
9:25 |
|
|
Sun-Thurs |
9:35 |
9:35 |
|
|
Sun-Thurs |
9:59-10:00* |
10:15 |
9:55-9:56* |
10:15 |
|
|
Sun-Thurs |
9:59-10:00* |
10:15 |
9:55-9:56* |
No
Trading *** |
9:45 |
|
Sunday |
15:39-15:40 |
10:15 |
|
Mon-Thurs |
17:14-17:15 ** |
|
|
Sunday |
15:49-15:50 |
15:49-15:50 |
16:00 |
Mon-Thurs |
17:24-17:25 ** |
17:24-17:25 |
17:35 |
Group A – shares included in Tamar, ETFs in the equity market, units in Traded Foreign Funds (*) and units in closed-end mutual funds.
Group B – shares not included in Tamar and convertible securities.
*Traded Foreign Funds will not be traded at the following dates: January 1st, December 24th, December 25th and Easter Monday even if those dates are trading days.
**A random start time of up to 60 seconds is applied.
***Continuous trading in securities on the illiquid list and on the maintenance list does not take place and these securities are traded in a call-auction phase twice a day, at the opening phase and at the closing phase.