EX-99.1 2 apcrrfexhibit9918-2024.htm EX-99.1 Document

Exhibit 99.1
Semi-Annual Servicer’s Certificate
Appalachian Power Company, as Servicer
Appalachian Consumer Rate Relief Funding LLC
Pursuant to Section 4.01(c)(ii) of the CRR Property Servicing Agreement dated as of November 15, 2013 (the
"Servicing Agreement") between, APPALACHIAN POWER COMPANY, as Servicer and APPALACHIAN CONSUMER
RATE RELIEF FUNDING LLC, the servicer does hereby certify, for the AUGUST 01, 2024 Payment Date (the "current
Payment Date"), as follows:
Capitalized terms used herein have their respective meanings as set forth in the Indenture (as defined in the
Servicing Agreement). References herein to certain sections and subsections are references to the respective
sections of the Servicing Agreement of the Indenture, as the context indicates.
Collection Periods: February 2024toJuly 2024
Payment Date:8/1/24
1. Collections Allocable and Aggregate Amounts Available for the Current Payment Date:
   i.Remittances for the 02/24 collection period (1)3,242,357.58
  ii.Remittances for the 03/24 collection period 2,795,756.70
 iii.Remittances for the 04/24 collection period 2,779,759.80
  iv.Remittances for the 05/24 collection period 2,747,606.36
   v.Remittances for the 06/24 collection period 2,363,002.95
  vi.Remittances for the 07/24 collection period (2)2,960,710.13
 vii.Investment Earnings on Collection Account
viii.                        Investment Earnings on Capital Subaccount45,708.47
  ix.                        Investment Earnings on Excess Funds Subaccount0.01
   x.                        Investment Earnings on General Subaccount 228,867.57
  xi.General Subaccount Balance (sum of i through x above)17,163,769.57
 xii.Excess Funds Subaccount Balance as of Prior Payment Date0.00
xiii.Capital Subaccount Balance as of Prior Payment Date1,807,145.76
 xiv.Collection Account Balance (sum of xi through xiii above)18,970,915.33
2. Outstanding Amounts as of Prior Payment Date:
Tranche
   i.Tranche A-1 Outstanding Amount0.00
  ii.Tranche A-2 Outstanding Amount134,314,514.00
 iii.Aggregate Outstanding Amount of all Tranches134,314,514.00
(1)Includes amounts calculated for the Reconciliation Period for the prior Collection Period, which was settled in February-2024.
(2)Does not include the reconciliation amounts calculated for the Reconciliation Period for such Collection Period, which will be settled in the month following such Collection Period.
Exhibit BPage 1 of 4



3. Required Funding/Payments as of Current Payment Date:
Tranche
   i.Tranche A-10.00
  ii.Tranche A-213,974,740.00
 iii.For all Tranches13,974,740.00
Interest TrancheInterest RateDays in interest Period(1)Principal BalanceInterest Due
  iv.Tranche A-12.0076%1800.000.00
   v.Tranche A-23.7722%180134,314,514.002,533,306.05
  vi.For all Tranches2,533,306.05
Required LevelFunding Required
  vii.Capital Subaccount1,901,500.0094,354.24 
1,901,500.0094,354.24
4. Allocation of Remittances as of Current Payment Date Pursuant to 8.02(e) of Indenture:
i.Trustee Fees and Expenses, Indemnity Amounts(2)0.00
ii.Servicing Fee95,075.00
iii.Administration Fee50,000.00
iv.Operating Expenses 18,795.18
v.Semi-Annual Interest (including any past-due for prior periods)2,533,306.05
Per $1000 of Original
Interest TrancheAggregatePrincipal Amount
1.Tranche A-1 Interest Payment0.00$0.00 
2.Tranche A-2 Interest Payment2,533,306.05$15.40 
2,533,306.05
vi.Principal Due and Payable as a Result of Event of Default or on Final Maturity Date0.00
Per $1000 of Original
1.Tranche A-1 Principal Payment0.00$0.00 
2.Tranche A-2 Principal Payment0.00$0.00 
0.00
Notes:
(1) On 30/360 day basis for initial payment date; otherwise use one-half of annual rate.
(2) Subject to $100,000 cap.
Exhibit BPage 2 of 4



vii.Semi-Annual Principal13,974,740.00
Per $1000 of Original
Interest TrancheAggregatePrincipal Amount
1.Tranche A-1 Principal Payment0.00$0.00 
2.Tranche A-2 Principal Payment13,974,740.00$84.95 
13,974,740.00
viii.Other Unpaid Operating Expenses0.00
ix.Funding of Capital Subaccount1,901,500.00
x.Permitted Return to APCo111,237.72
xi.Deposit to Excess Funds Subaccount286,261.38
xii.Released to Issuer upon Retirement of all Consumer Rate Relief Bonds0.00
xiii.Aggregate Remittances as of Current Payment Date18,970,915.33
5. Outstanding Amount and Collection Account Balance as of Current Payment Date (after giving effect to payments to be made on such Payment Date):
Tranche
   i.Tranche A-1 Outstanding Amount0.00
  ii.Tranche A-2 Outstanding Amount120,339,774.00
 iii.Aggregate Outstanding Amount of all Tranches120,339,774.00
   iv.Excess Funds Subaccount Balance286,261.38
    v.Capital Subaccount Balance1,901,500.00
   vi.Aggregate Collection Account Balance2,187,761.38
6. Subaccount Withdrawals as of Current Payment Date (if applicable, pursuant to Section 8.02(e) of Indenture):
i.Excess Funds Subaccount0.01
ii.Capital Subaccount1,852,854.23
iii.Total Withdrawals1,852,854.24
7. Shortfalls In Interest and Principal Payments as of Current Payment Date:0.00
i. Semi-annual Interest
1.Tranche A-1 Interest Payment0.00
2.Tranche A-2 Interest Payment0.00
0.00
ii. Semi-annual Principal
1.Tranche A-1 Principal Payment0.00
2.Tranche A-2 Principal Payment0.00
0.00
Exhibit BPage 3 of 4



8. Shortfalls in payment of permitted return as of Current Payment Date:
i. Permitted Return0.00
9. Shortfalls in Required Subaccount Levels as of Current Payment Date:
i. Capital Subaccount0.00
IN WITNESS HEREOF, the undersigned has duly executed and
delivered this Servicer’s Certificate this 30th day of July, 2024.
APPALACHIAN POWER COMPANY
as Servicer
By:
/s/ Julie A Sherwood
Name:Julie A Sherwood
Title: Senior Vice President
Exhibit BPage 4 of 4