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 | 22/3/2012 | USD | 500 | 4.950% | New York | US822582AB83 |
| 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 | 9/2/2012 | EUR | 1,750 | 3.375% | London | XS0412968793 |
| 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 | 25/3/2013 | USD | 2,000 | 1.875% | New York | US822582AL65 |
| 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 |
| 24/6/2010 | 24/6/2012 | USD | 1,000 | Floating | New York | US822582AP79 |
| 28/6/2010 | 28/6/2015 | USD | 1,750 | 3.100% | New York | US822582AQ52 |
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.
Bond maturity profile
Maturity Profile of bonds issued by Shell International Finance BV, guaranteed by Royal Dutch Shell plc $m.
Credit ratings
| | | | |
| | 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 |