Bondholder information

Credit ratings (at April 1, 2020)

 

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-

Negative

P–1

Aa2

Negative

Debt of Shell International Finance B.V.

A–1+

AA-

Negative

P–1

Aa2

Negative

Publicly listed bonds were issued by Shell International Finance B.V. and guaranteed by Royal Dutch Shell plc. Shell International Finance B.V. is a 100% subsidiary of Royal Dutch Shell plc.

Publicly listed bonds, current outstanding

Maturity

Settlement

Currency

Million

Coupon

Listing

ISIN

11 May 2020

11 May 2015

USD

2,000

2.125%

New York

US822582BG61

11 May 2020

11 May 2015

USD

750

3-month LIBOR + 0.45%

New York

US822582BH45

10 Nov 2020

10 Nov 2015

USD

1,250

2.250%

New York

US822582BP60

24 Mar 2021

24 Mar 2014

EUR

1,000

1.625%

London

XS1048521733

10 May 2021

10 May 2016

USD

1,500

1.875%

New York

US822582BS00

12 Sep 2021

12 Sep 2016

USD

1,000

1.750%

New York

US822582BW12

15 Mar 2022

15 Sep 2015

EUR

1,250

1.250%

London

XS1292484323

06 Apr 2022

06 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

21 Aug 2023

21 Aug 2015

CHF

800

0.375%

Zurich

CH0292877880

13 Nov 2023

13 Nov 2018

USD

1,000

3.500%

New York

US822582BZ43

13 Nov 2023

13 Nov 2018

USD

500

3-month LIBOR + 0.40%

New York

US822582CA82

07 Apr 2024

07 Apr 2020

EUR

1,000

1.125%

London

XS2154418144

12 May 2024

12 May 2016

EUR

750

0.750%

London

XS1411405662

07 Nov 2024

07 Nov 2019

USD

1,250

2.000%

New York

US822582CC49

15 Feb 2025

15 Aug 2016

EUR

1,250

0.375%

London

XS1476654238

06 Apr 2025

06 Apr 2020

USD

1,500

2.375%

New York

US822582CF79

11 May 2025

11 May 2015

USD

2,750

3.250%

New York

US822582BD31

15 Sep 2025

15 Sep 2015

EUR

1,000

1.875%

London

XS1292468045

24 Mar 2026

24 Mar 2014

EUR

1,000

2.500%

London

XS1048529041

10 May 2026

10 May 2016

USD

1,750

2.875%

New York

US822582BT82

12 Sep 2026

12 Sep 2016

USD

1,000

2.500%

New York

US822582BX94

20 Jan 2027

06 Nov 2014

EUR

1,250

1.625%

London

XS1135277140

08 Nov 2027

08 Nov 2019

EUR

1,000

0.125%

London

XS2078734626

07 Apr 2028

07 Apr 2020

EUR

1,000

1.500%

London

XS2154418730

12 May 2028

12 May 2016

EUR

1,000

1.250%

London

XS1411401083

15 Aug 2028

15 Aug 2016

EUR

1,000

0.750%

London

XS1476654584

21 Aug 2028

21 Aug 2015

CHF

525

0.875%

Zurich

CH0292877898

13 Nov 2028

13 Nov 2018

USD

1,500

3.875%

New York

US822582CB65

07 Nov 2029

07 Nov 2019

USD

1,500

2.375%

New York

US822582CD22

06 Apr 2030

06 Apr 2020

USD

1,000

2.750%

New York

US822582CG52

08 Nov 2031

08 Nov 2019

EUR

1,000

0.500%

London

XS2078735276

07 Apr 2032

07 Apr 2020

EUR

1,000

1.875%

London

XS2154419118

11 May 2035

11 May 2015

USD

1,500

4.125%

New York

US822582BE14

15 Dec 2038

11 Dec 2008

USD

2,750

6.375%

New York

US822582AD40

08 Nov 2039

08 Nov 2019

EUR

1,000

0.875%

London

XS2078735433

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

11 May 2045

11 May 2015

USD

3,000

4.375%

New York

US822582BF88

10 May 2046

10 May 2016

USD

2,250

4.000%

New York

US822582BQ44

12 Sep 2046

12 Sep 2016

USD

1,250

3.750%

New York

US822582BY77

07 Nov 2049

07 Nov 2019

USD

1,250

3.125%

New York

US822582CE05

06 Apr 2050

06 Apr 2020

USD

1,250

3.250%

New York

US822582CH36

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

Publicly listed bonds, current outstanding

Maturity

Currency

Million

Coupon

Listing

09 Dec 2020

USD

650

4.000%

London

15 Oct 2021

USD

1,350

4.000%

London

21 Nov 2022

EUR

775

1.250%

London

01 Dec 2025

GBP

750

5.125%

London

21 Nov 2029

EUR

800

2.250%

London

17 Oct 2033

EUR

100

3.500%

London

04 Nov 2036

GBP

750

5.000%

London

15 Oct 2041

USD

900

5.125%

London