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Bonds and credit ratings information

On this page our current outstanding publicly traded bonds and our credit ratings.
This information was last updated on 17 September 2009.

Publicly traded bonds

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


Maturity Coupon Currency Amount (million) ISIN
15/01/2010 5.250% GBP 300    XSO275789344
15/01/2010 5.250% GBP 200    XS0275789344
27/01/2010 5.125% USD 300    XSO274711026
27/01/2010 5.125% USD 200    XSO274711026
05/03/2010 4.000% EUR 300    XSO287393119
27/06/2011 5.625% USD 1,000    US822582AA01
16/09/2011 2.000% CHF 300    CH0024409283
22/09/2011 Floating USD 500     US822582AK82
22/09/2011 1,300% USD 1,500    US822582AG70
22/03/2012 4.950% USD 500    US822582AB83
09/05/2012 3.375% EUR 1,750    XS0412968793
14/05/2013 3.000% EUR 2,500    XSO428146442
21/03/2014 4.000% USD 2,500    US822582AF97
22/09/2015 3.250% USD 1,000    US822582AH53
09/02/2016 4.500% EUR 1,250    XS0412968876
22/03/2017 5.200% USD 750    US822582AC66
22/05/2017 4.625% EUR 1,500    XSO301945860
14/05/2018 4.375% EUR 2,500    XSO428147093
22/09/2019 4.300% USD 2.000    US822582AJ10
15/12/2038 6.375% USD 2,750    US822582AD40

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.

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