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Bondholder information

Publicly traded bonds were issued by Shell International Finance BV and guaranteed by Royal Dutch Shell plc. Shell International Finance BV is a 100% subsidiary of Royal Dutch Shell plc.

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CREDIT RATINGS (AT APRIL 15, 2015)

 

 

 

 

 

S&P

 

Moody’s

 

Short-term
rating

Long-term
rating

Outlook

 

Short-term
rating

Long-term
rating

Outlook

Royal Dutch Shell plc

A–1+

AA

CreditWatch with negative implications

 

P–1

Aa1

Negative

Debt of Shell International Finance BV

A–1+

AA

CreditWatch with negative implications

 

P–1

Aa1

Negative

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PUBLICLY TRADED BONDS, CURRENT OUTSTANDING

 

 

 

Maturity

Settlement

Currency

Million

Coupon

 

Listing

ISIN

28 Jun 2015

28 Jun 2010

USD

1,750

3.100%

 

New York

US822582AQ52

22 Sep 2015

22 Sep 2009

USD

1,000

3.250%

 

New York

US822582AH53

10 Nov 2015

15 Nov 2013

USD

750

3-month LIBOR +0.07%

 

New York

US822582BB74

04 Dec 2015

06 Dec 2012

USD

750

0.625%

 

New York

US822582AU64

09 Feb 2016

09 Feb 2009

EUR

1,250

4.500%

 

London

XS0412968876

15 Nov 2016

15 Nov 2013

USD

1,000

3-month LIBOR +0.21%

 

New York

US822582BC57

15 Nov 2016

15 Nov 2013

USD

1,000

0.900%

 

New York

US822582AZ51

22 Mar 2017

22 Mar 2007

USD

750

5.200%

 

New York

US822582AC66

22 May 2017

22 May 2007

EUR

1,500

4.625%

 

London

XS0301945860

21 Aug 2017

21 Aug 2012

USD

1,000

1.125%

 

New York

US822582AR36

14 May 2018

13 May 2009

EUR

2,500

4.375%

 

London

XS0428147093

10 Aug 2018

12 Aug 2013

USD

1,500

1.900%

 

New York

US822582AW21

15 Nov 2018

15 Nov 2013

USD

1,250

2.000%

 

New York

US822582BA91

22 Sep 2019

22 Sep 2009

USD

2,000

4.300%

 

New York

US822582AJ10

20 Dec 2019

6 Nov 2014

GBP

500

2.000%

 

London

XS1135277736

25 Mar 2020

25 Mar 2010

USD

1,250

4.375%

 

New York

US822582AM49

24 Mar 2021

24 Mar 2014

EUR

1,000

1.625%

 

London

XS1048521733

6 Apr 2022

6 Nov 2014

EUR

1,000

1.000%

 

London

XS1135276332

21 Aug 2022

21 Aug 2012

USD

1,000

2.375%

 

New York

US822582AS19

06 Jan 2023

06 Dec 2012

USD

1,000

2.250%

 

New York

US822582AV48

12 Aug 2023

12 Aug 2013

USD

1,000

3.400%

 

New York

US822582AX04

24 Mar 2026

24 Mar 2014

EUR

1,000

2.500%

 

London

XS1048529041

20 Jan 2027

6 Nov 2014

EUR

1,250

1.625%

 

London

XS1135277140

15 Dec 2038

11 Dec 2008

USD

2,750

6.375%

 

New York

US822582AD40

25 Mar 2040

25 Mar 2010

USD

1,000

5.500%

 

New York

US822582AN22

21 Aug 2042

21 Aug 2012

USD

500

3.625%

 

New York

US822582AT91

12 Aug 2043

12 Aug 2013

USD

1,250

4.550%

 

New York

US822582AY86

BOND MATURITY PROFILE $ million equivalent
Bond maturity profile ($ million equivalent) in USD, EUR and GBP – development from 2015 to 2043 (bar chart)