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.
Download XLS |
CREDIT RATINGS (AT APRIL 15, 2015) |
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S&P |
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Moody’s | ||||
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Short-term |
Long-term |
Outlook |
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Short-term |
Long-term |
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 |
Download XLS |
PUBLICLY TRADED BONDS, CURRENT OUTSTANDING |
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Maturity |
Settlement |
Currency |
Million |
Coupon |
|
Listing |
ISIN |
28 Jun 2015 |
28 Jun 2010 |
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 |
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 |
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 |