Outstanding bonds
Shell International BV
Publicly listed bonds
These bonds were issued by Shell International Finance BV and guaranteed by Shell plc. Shell International Finance BV is a 100% subsidiary of 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, 2042
|
USD
|
500
|
3.625%
|
New York
|
US822582AT91
|
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
|
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
|
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 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
|
Nov 26, 2021
|
Nov 26, 2041
|
USD
|
500
|
2.875%
|
New York
|
US822582CK64
|
Nov 26, 2021
|
Nov 26, 2051
|
USD
|
1,000
|
3.000%
|
New York
|
US822582CL48
|
Maturity
|
Currency
|
Amount (millions)
|
Coupon
|
Listing
|
---|---|---|---|---|
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
|
|
|
|
|
|