Below is a summary of our current outstanding publicly traded bonds issued by Shell International Finance BV and BG Energy Capital plc (BGEC).

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Shell International BV
Publicly listed bonds

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

Settlement
Maturity
Currency
Amount (millions)
Coupon
Listing
ISIN
Dec 11, 2008
Dec 15, 2038
USD
2,750
6.375%
New York
US822582AD40
Mar 25, 2010
Mar 25, 2040
USD
1,000
5.500%
New York
US822582AN22
Aug 21, 2012
Aug 21, 2022
USD
1,000
2.375%
New York
US822582AS19
Aug 21, 2012
Aug 21, 2042
USD
500
3.625%
New York
US822582AT91
Dec 6, 2012
Jan 6, 2023
USD
1,000
2.25%
New York
US822582AV48
Aug 12, 2013
Aug 12, 2023
USD
1,000
3.4%
New York
US822582AX04
Aug 12, 2013
Aug 12, 2043
USD
1,250
4.55%
New York
US822582AY86
Mar 24, 2014
Mar 24, 2026
EUR
1,000
2.500%
London
XS1048529041
Nov 6, 2014
Apr 6, 2022
EUR
1,000
1%
London
XS1135276332
Nov 6, 2014
Jan 20, 2027
EUR
1,250
1.625%
London
XS1135277140
May 11, 2015
May 11, 2025
USD
2,750
3.25%
New York
US822582BD31
May 11, 2015
May 11, 2035
USD
1,500
4.125%
New York
US822582BE14
May 11, 2015
May 11, 2045
USD
3,000
4.375%
New York
US822582BF88
Aug 21, 2015
Aug 21, 2023
CHF
800
0.375%
Zurich
CH0292877880
Aug 21, 2015
Aug 21, 2028
CHF
525
0.875%
Zurich
CH0292877898
Sep 15, 2015
Mar 15, 2022
EUR
1,250
1.25%
London
XS1292484323
Sep 15, 2015
Sep 15, 2025
EUR
1,000
1.875%
London
XS1292468045
May 10, 2016
May 10, 2026
USD
1,750
2.875%
New York
US822582BT82
May 10, 2016
May 10, 2046
USD
2,250
4.000%
New York
US822582BQ44
May 12, 2016
May 12, 2024
EUR
750
0.750%
London
XS1411405662
May 12, 2016
May 12, 2028
EUR
1,000
1.250%
London
XS1411401083
Aug 15, 2016
Feb 15, 2025
EUR
1,250
0.375%
London
XS1476654238
Aug 15, 2016
Aug 15, 2028
EUR
1,000
0.750%
London
XS1476654584
Sep 12, 2016
Sep 12, 2026
USD
1,000
2.50%
New York
US822582BX94
Sep 12, 2016
Sep 12, 2046
USD
1,250
3.75%
New York
US822582BY77
Nov 13, 2018
Nov 13, 2023
USD
1,000
3.500%
New York
US822582BZ43
Nov 13, 2018
Nov 13, 2023
USD
500
3mL + 40
New York
US822582CA82
Nov 13, 2018
Nov 13, 2028
USD
1,500
3.875%
New York
US822582CB65
Nov 7, 2019
Nov 7, 2024
USD
1,250
2.000%
New York
US822582CC49
Nov 7, 2019
Nov 7, 2029
USD
1,500
2.375%
New York
US822582CD22
Nov 7, 2019
Nov 7, 2049
USD
1,250
3.125%
New York
US822582CE05
Nov 8, 2019
Nov 8, 2027
EUR
1,000
0.125%
London
XS2078734626
Nov 8, 2019
Nov 8, 2031
EUR
1,000
0.500%
London
XS2078735276
Nov 8, 2019
Nov 8, 2039
EUR
1,000
0.875%
London
XS2078735433
Apr 6, 2020
Apr 6, 2025
USD
1,500
2.375%
New York
US822582CF79
Apr 6, 2020 Tap: Sep 15, 2020
Apr 6, 2030
USD
1,750
2.750%
New York
US822582CG52
Apr 6, 2020 Tap: Sep 15, 2020
Apr 6, 2050
USD
2,000
3.250%
New York
US822582CH36
Apr 7, 2020
Apr 7, 2024
EUR
1,000
1.125%
London
XS2154418144
Apr 7, 2020
Apr 7, 2028
EUR
1,000
1.500%
London
XS2154418730
Apr 7, 2020
Apr 7, 2032
EUR
1,000
1.875%
London
XS2154419118
May 11, 2020
May 11, 2024
EUR
1,000
0.500%
London
XS2170384130
May 11, 2020
Nov 11, 2032
EUR
1,000
1.250%
London
XS2170386853
Sep 10, 2020
Dec 10, 2030
GBP
500
1.000%
London
XS2228291279
Sep 10, 2020
Sep 10, 2052
GBP
500
1.750%
London
XS2228387465
Sep 15, 2020
Sep 15, 2023
USD
1,000
0.375%
New York
US822582CJ91

 

BG Energy Capital plc
Publicly listed bonds

These bonds are issued by BG Energy Capital plc (BGEC) and are guaranteed by BG Energy Holdings Ltd (BGEH).

Maturity
Currency
Amount (millions)
Coupon
Listing
Oct 15, 2021
USD
1,350
4.0%
London
Nov 21, 2022
EUR
775
1.25%
London
Dec 1, 2025
GBP
750
5.125%
London
Nov 21, 2029
EUR
800
2.25%
London
Oct 17, 2033
EUR
100
3.5%
London
Nov 4, 2036
GBP
750
5.0%
London
Oct 15, 2041
USD
900
5.125%
London