This report provides details on the gilt issuances (and other outright issuance) for both the current financial year and previous years. The issuance calendar for each financial year is published just ahead of the start of the financial year in question. Each quarter the calendar is refined to name the specific gilts to be auctioned in that quarter, and in the week before an auction, further refined to include the size of that auction. For new bonds, the coupon rate is announced at the same time as the size of the auction. On the day of an auction the cash proceeds are added to the calendar.