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The Hong Kong stock market usually trades from Monday to Friday, and the trading hours are divided into the following periods:

  • Full-day trading:

    • Morning market: 09:30 - 12:00
    • Lunch: 13:00 - 16:00
  • Half-day trading:

    • 12:00 - 12:08 and 12:10 - 12:30 (specific time slots depend on daily arrangements)
  • Bidding period:

    • Pre-market hours: 09:00 - 09:30
    • Closing auction trading session: Random closing between 16:00 - 16:08 and 16:10

Note: There are no morning and afternoon trading on Christmas Eve, New Year's Eve, and Lunar New Year's Eve. Typhoons or black rainstorms may affect trading. Typhoon signals or black rainstorm warnings issued by the Hong Kong Observatory may lead to adjustments in trading arrangements. Please pay attention to relevant news or notices from the Hong Kong Stock Exchange.

You can click on the three dots in the upper right corner of the stock [Trading] page to view the trading hours of Hong Kong stocks.

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Compliance Entity
Biya Global LLC is a U.S. limited liability company. It has completed federal MSB registration (Registration number 31000218637349) with FinCEN under the Bank Secrecy Act and is subject to FinCEN’s supervision.
Biya Global Limited is a New Zealand registered entity. It holds valid FSP registration (Registration number FSP1007221) on the Financial Service Providers Register (FSPR) under the Financial Service Providers (Registration and Dispute Resolution) Act 2008 and is subject to supervision by the Financial Markets Authority (FMA).
The Company is registered as a Financial Service Provider (FSP) on the New Zealand Financial Service Providers Register (FSPR). In accordance with its registered financial service activities and applicable New Zealand financial and anti-money laundering regulations, the Company operates a technology-enabled financial services platform, providing clients with account opening assistance and related technical support services, while connecting with globally regulated and licensed brokerage firms to facilitate access to international securities investment opportunities.
Securities trading, asset custody, fund settlement and clearing services, which require specific financial licenses, are independently provided and performed by licensed financial institutions in the respective jurisdictions. Such regulated activities are conducted under the supervision of the relevant regulatory authorities in accordance with applicable laws and regulations.
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