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Weekly Schedule



 
Provisional Translation JST (Japan Standard Time) : GMT (Greenwich Mean Time) + 9 hour
Year 2026 News Releases & Other Public Documents

January 12
(Monday)

    January 13
    (Tuesday)

    • 8:50 International Transactions in Securities(Monthly:based on reports from designated major investors)
    • 8:50 Balance of Payments, November 2025(Preliminary) and 3rd quarter 2025(Second Preliminary)
    • 10:30 Announcement of 20-year JGBs to Be Issued in January

    January 14
    (Wednesday)

    • 10:30 Auction Notice of 5-year JGBs*
    • 12:35 Auction Result of 5-year JGBs
    • 15:15 Auction Result of 5-year JGBs(For JGB Market Special Participants)

    January 15
    (Thursday)

    • 10:20 Announcement of Treasury Discount Bills
    • 10:30 Announcement of the Auction for Enhanced-liquidity
    • 10:30 Auction Notice---Borrowing of Special Account for Allotment of Local Allocation Tax and Local Transfer Tax*
    • 13:00 Auction Result---Borrowing of Special Account for Allotment of Local Allocation Tax and Local Transfer Tax*

    January 16
    (Friday)

    • 8:50 International Transactions in Securities(Weekly:based on reports from designated major investors)
    • 8:50 Balance of Offshore Accounts (as of the end of November 2025)
    • 10:20 Auction Notice of Treasury Discount Bills*
    • 10:30 Auction Notice of the Auction for Enhanced-liquidity*
    • 12:30 Auction Result of Treasury Discount Bills
    • 12:35 Result of Auction for Enhanced-liquidity
    • 12:35 Issues Re-opened through the Auction for Enhanced-liquidity
    Note The above schedule is subject to change without notice.
    The times shown above indicate when Japanese texts will be released to the press.
    There may be some delay before English texts appear in our web site.
    * Japanese text only
    This document is not provided through our website.


     
    Provisional Translation JST (Japan Standard Time) : GMT (Greenwich Mean Time) + 9 hour
    Year 2026 News Releases & Other Public Documents

    January 19
    (Monday)

    • 10:20 Auction Notice of Treasury Discount Bills*
    • 10:30 Announcement of 5-year Japan Climate Transition Bonds to Be Issued in February
    • 12:30 Auction Result of Treasury Discount Bills

    January 20
    (Tuesday)

    • 10:30 Auction Notice of 20-year JGBs*
    • 10:30 Auction Notice---Borrowing of Special Account for Allotment of Local Allocation Tax and Local Transfer Tax*
    • 12:35 Auction Result of 20-year JGBs
    • 14:00 Balance of the Fiscal Loan Fund(End of December 2025)
    • 15:15 Auction Result of 20-year JGBs(For JGB Market Special Participants)

    January 21
    (Wednesday)

    • 10:30 Announcement of 40-year JGBs to Be Issued in January

    January 22
    (Thursday)

    • 8:50 International Transactions in Securities(Weekly:based on reports from designated major investors)
    • 8:50 Trade Statistics(December 2025 & Calender Year January-December 2025[Provisional])
    • 10:20 Auction Notice of Treasury Discount Bills*
    • 10:30 Auction Notice of the Auction for Enhanced-liquidity*
    • 10:30 Auction Notice---Borrowing of Special Account for Allotment of Local Allocation Tax and Local Transfer Tax*
    • 12:30 Auction Result of Treasury Discount Bills
    • 12:35 Result of Auction for Enhanced-liquidity
    • 13:00 Auction Result---Borrowing of Special Account for Allotment of Local Allocation Tax and Local Transfer Tax*
    • 17:00 Issues Re-opened through the Auction for Enhanced-liquidity

    January 23
    (Friday)

    • 10:20 Announcement of Treasury Discount Bills
    • 10:30 Announcement of 2-year JGBs to Be Issued in February
    Note The above schedule is subject to change without notice.
    The times shown above indicate when Japanese texts will be released to the press.
    There may be some delay before English texts appear in our web site.
    * Japanese text only
    This document is not provided through our website.