Issuer
|
Shell International Finance B.V. | |
Guarantor
|
Royal Dutch Shell plc | |
Ratings
|
Aa1/AA+ (Moodys/S&P) | |
Format
|
SEC Registered | |
Size
|
$2,750,000,000 | |
Trade Date
|
December 8, 2008 | |
Settlement Date
|
December 11, 2008 | |
Maturity
|
December 15, 2038 | |
Callable
|
Make-Whole at Treasury Rate + 50bps, Tax Call | |
Interest Payment Dates
|
June 15 and December 15 | |
First Payment Date
|
June 15, 2009 | |
Pricing Benchmark
|
UST 4.375% due Feb 15, 2038 | |
Spread to Benchmark
|
+325bps | |
Yield to Maturity
|
6.415% | |
Coupon
|
6.375% | |
Price
|
99.469% | |
Day
Count
|
30/360 | |
Minimum Denomination
|
$1,000 and increments of $1,000 | |
Use of Proceeds
|
General corporate purposes | |
Listing
|
NYSE listing pending | |
Ranking
|
Senior | |
Bookrunners
|
Barclays Capital Inc. and Merrill Lynch, Pierce, Fenner & Smith Incorporated | |
Billing and Delivering
|
Merrill Lynch, Pierce, Fenner & Smith Incorporated | |
CUSIP
|
822582AD4 | |
ISIN
|
US822582AD40 |