Last Trading Day/Delivery Day

JPX markets holidays are as follows.

Market Holidays

Last Trading Day/Trade-Starting Day/Delivery Day Tables

2024

  Last Trading Day Trade-Starting Day
Index Futures and Options icon-xls icon-xls
JGB Futures and Options
Interest Rate Futures
icon-xls icon-xls
Securities Options icon-xls icon-xls
Commodity Futures and Options icon-xls icon-xls

2025

  Last Trading Day
Index Futures and Options icon-xls
JGB Futures and Options
Interest Rate Futures
icon-xls
Securities Options icon-xls
Commodity Futures and Options icon-xls

A calendar with the last day of trading for the year is available for download.> Link to Japanese website

Last Trading Day Calendar (Japanese Only)
 

(Note)

  • The Tables of the last trading day publish the last trading day etc. of the contracts whose last trading day is arrived in the year.
  • The Tables of the trade-starting day publish the last trading day etc. of the contracts whose trade-starting day is arrived in the year.
  • Trading also starts for each strategy instrument in relation with these contracts.
  • Tradable strategy instruments change on the trade-starting day of one of the leg instruments.

(Note:Last Trading Day)

  • Trading on the last trading date will be finished at the close of the intra-day session. However, the last trading day may change due to a change in national holidays.
  • Holiday trading date will not be the Last Trading Day for any product. It shall be handled as a non-business date as described here .

  • For Index Futures (except for those described below), Index Options(except for Nikkei 225 mini Options) and Individual securities options, last trading day is the day preceding the second Friday of each month.
    (If it falls upon an OSE non-business day, it will be advanced.).
    (When the second Friday is a non-business day, it will be advanced.).
  • For Nikkei 225 VI Futures, last trading day is the day preceding the day (If it falls upon an OSE non-business day, it will be advanced.) that is 30 days prior to the 2nd Friday (If it falls upon an OSE non-business day, it will be advanced.) of each month.
  • For DJIA Futures, last trading day is the 3rd Friday (If it falls upon an OSE non-business day or a day on which DJIA is not scheduled to be calculated, it will be advanced.) of each month.
  • For TAIEX Futures, last trading day is the trading day which ends on the business day immediately preceding the third Wednesday(If it falls upon an OSE non-business day or it falls on a day which TAIEX is not calculated, it will be moved down accordingly.).
  • For FTSE China 50 Index Futures, last trading day is the day (If it falls upon an OSE non-business day or a day on which the FTSE China 50 Index is not calculated, it will be advanced.) preceding the last day of each month (If it falls upon an OSE non-business day or a day on which the FTSE China 50 Index is not calculated, it will be advanced.).
  • For Nikkei 225 mini Options, the last trading day is the day before Friday of each week (If the day before Friday is an OSE non-business day, the last trading day will be moved up accordingly).
  • For JGB Futures (except for mini-10-year JGB Futures (Cash-Settled)), last trading day is the 5th business day prior to each delivery date (20th of each contract month (If the 20th day falls upon an OSE non-business day, it will be moved down accordingly.)).
  • For mini-10-year JGB Futures (Cash-Settled), last trading day is the 6th business day prior to each delivery date of 10-year JGB Futures with the same contract month.
  • For Options on JGB Futures, last trading day is the last day of the month prior to each contract month(If it falls upon an OSE non-business day, it will be advanced).
  • For 3-Month TONA Futures, last trading day is the business day prior to the 3rd Wednesday of the three months after each contract month (to be moved up in order if the date falls on a non-business day).
  • For Dividend Index Futures , last trading day is the Last business day of March (If it falls upon an OSE non-business day, it will be advanced.) of each year.
  • For Gold(Standard), Platinum(Standard), Silver, and Palladium, the last trading day is the third business day preceding the delivery day (excluding non-business days).
  • For RSS3 Rubber, the last trading day is the fourth business day preceding the delivery day (excluding non-business days).
  • For TSR20 Rubber, the last trading day is the last business day of the preceding month prior to the relevant contract month.
  • For Soybean, the last trading day is the 15th day of the relevant contract month (if it falls upon an OSE non-business day,it will be advanced).
  • For Azuki, the last trading day is the second business day preceding the delivery day (excluding non-business days).
  • For Corn, the last trading day is the 15th day of the relevant month prior to the relevant contract month (if it falls upon an OSE non-business day, it will be advanced).
  • For Gold (Mini), Platinum(Mini), and Gold Options, the last trading day is the day before the day of the last trading day for cash Futures contracts ending on an even-numbered contract month (if it falls upon an OSE non-business day, it will be advanced).
  • For Dubai Crude Oil, the last trading day is the last business day of the relevant contract month.
  • For Gasoline, Kerosene, Gas Oil, the last trading day is the 25th day of the relevant month prior to the relevant contract month (if it falls upon a TOCOM non-business day, it will be advanced).
  • For East Area Baseload Electricity, West Area Baseload Electricity, the last trading day is the business day prior to the last day of the relevant contract month.
  • For East Area Peakload Electricity, West Area Peakload Electricity, the last trading day is the business day prior to the last weekday of the relevant contract month.
  • For East Area Baseload Electricity (Weekly), West Area Baseload Electricity (Weekly), the last trading day is the day before Friday of each week.
  • For East Area Peakload Electricity (Weekly), West Area Peakload Electricity (Weekly), the last trading day is the day before Friday of each week (if it falls upon a TOCOM non-business day, it will be advanced).
  • For CME Petroleum Index Futures, the last trading day is the first business day (If it falls upon an OSE non-business day or a day on which the CME Petroleum Index is not calculated, it will be advanced.) of the relevant contract month.
  • For LNG (Platts JKM), the last trading day is the 15th day of the relevant month prior to the relevant contract month (if it falls upon a TOCOM non-business day, it will be advanced).

(Note:Delivery Day)

  • For Gold(Standard), Platinum(Standard), Silver, and Palladium, the delivery day is the last business day of an even-numbered month (provided that it is December 28 (if it falls upon an OSE non-business day or the last business day in December, it will be advanced)).
  • For RSS3 Rubber, the delivery day is the last business day of every month (provided that it is December 28 (if it falls upon an OSE non-business day or the last business day in December, it will be advanced)).
  • For Soybean, the delivery day is specified by the delivering trading participant during the period between the third business day after the last trading day that corresponds to the last business day of the relevant contract month (provided that for December, it is the third day preceding the last business day (excluding non-business days).
  • For Azuki, the delivery day is the day before the last business day of every month (provided that it will be the 24th day in December (if it falls upon an OSE non-business day or the last business day in December, it will be advanced)).
  • For Corn, the delivery day is the previous day (excluding non-business days) of the first scheduled shipment receiving day between the 1st and the last day of the relevant contract month.
  • For Gasoline, Kerosene, Gas Oil, the delivery day is between the 1st day and the last day of the relevant month.
  • The final settlement day for Gold Mini, Platinum Mini, and CME Crude Oil will be the day following the day on which the final settlement price is determined (if it falls upon an OSE non-business day, it will be moved down accordingly).
  • The final settlement day for Platts Dubai Crude Oil, and LNG (Platts JKM) will be the day following the day on which the final settlement price is determined (if it falls upon an OSE non-business day, it will be moved down accordingly).
  • The final settlement day for Electricity will be the day following the day on which the final settlement price is determined (if it falls upon a TOCOM non-business day, it will be moved down accordingly).