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Publicly traded bonds

Our current outstanding bonds issue is provided in the following table.

Current Outstanding Bonds
Settlement Maturity Currency Amount (M) Coupon Listing ISIN
22/3/2007 22/3/2017 USD 750 5.200% New York US822582AC66
22/5/2007 22/5/2017 EUR 1,500 4.625% London XSO301945860
11/12/2008 15/12/2038 USD 2,750 6.375% New York US822582AD40
9/2/2009 9/2/2016 EUR 1,250 4.500% London XS0412968876
23/3/2009 21/3/2014 USD 2,500 4.000% New York US822582AF97
13/5/2009 14/5/2013 EUR 2,500 3.000% London XSO428146442
13/5/2009 14/5/2018 EUR 2,500 4.375% London XSO428147093
22/9/2009 22/9/2015 USD 1,000 3.250% New York US822582AH53
22/9/2009 22/9/2019 USD 2,000 4.300% New York US822582AJ10
25/3/2010 25/3/2020 USD 1,250 4.375% New York US822582AM49
25/3/2010 25/3/2040 USD 1,000 5.500% New York US822582AN22
28/6/2010 28/6/2015 USD 1,750 3.100% New York US822582AQ52
21/8/2012 21/8/2017 USD 1,000 1.125% New York US822582AR36
21/8/2012 21/8/2022 USD 1,000 2.375% New York US822582AS19
21/8/2012 21/8/2042 USD 500 3.625% New York US822582AT91
6/12/2012 4/12/2015 USD 750 0.625% New York US822582AU64
6/12/2012 6/01/2023 USD 1,000 2.375% New York US822582AV48

The above 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 and the issuing vehicle for the Group.

Maturity profile in ($M) equivalent

Maturity Profile of bonds issued by Shell International Finance BV, guaranteed by Royal Dutch Shell plc $m.

Maturity Profile ($m) Equivalent

Credit ratings

Credit ratings
  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 Stable P-1 Aa1 Stable
Debt of Shell International Finance BV A-1+ AA Stable P-1 Aa1 Stable