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Financing Activities (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Dec. 31, 2010
Long-term Debt          
Senior Unsecured Notes $ 11,750,000,000   $ 11,750,000,000   $ 11,669,000,000
Pollution Control Bonds 2,153,000,000   2,153,000,000   2,263,000,000
Notes Payable 347,000,000   347,000,000   396,000,000
Securitization Bonds 1,755,000,000   1,755,000,000   1,847,000,000
Junior Subordinated Debentures 315,000,000   315,000,000   315,000,000
Spent Nuclear Fuel Obligation 265,000,000 [1]   265,000,000 [1]   265,000,000 [1]
Other Long-term Debt 92,000,000   92,000,000   91,000,000
Unamortized Discount (net) (42,000,000)   (42,000,000)   (35,000,000)
Total Long-term Debt Outstanding 16,635,000,000   16,635,000,000   16,811,000,000
Less Portion Due Within One Year 1,071,000,000   1,071,000,000   1,309,000,000
Long-term Debt 15,564,000,000   15,564,000,000   15,502,000,000
Long-term debt and other securities issued, retired and principal payments made          
Issuances     1,083,000,000 [2]    
Retirements and Principal Payments     1,263,000,000 1,341,000,000  
Short-term Debt:          
Securitized Debt for Receivables 695,000,000 [3]   695,000,000 [3]   690,000,000 [3]
Commercial Paper 944,000,000   944,000,000   650,000,000
Line of Credit - Sabine Mining Company 0 [4]   0 [4]   6,000,000 [4]
Total Short-term Debt 1,639,000,000   1,639,000,000   1,346,000,000
Securitized Debt for Receivables 0.23% [5]   0.23% [5]   0.31% [5]
Commercial Paper 0.41% [5]   0.41% [5]   0.52% [5]
Line of Credit - Sabine Mining Company 0.00% [5]   0.00% [5]   2.15% [5]
Comparative accounts receivable information          
Effective Interest Rates on Securitization of Accounts Receivable 0.26% 0.31% 0.28% 0.27%  
Net Uncollectible Accounts Receivable Written Off 6,000,000 4,000,000 17,000,000 12,000,000  
Customer accounts receivable managed portfolio          
Accounts Receivable Retained Interest and Pledged as Collateral Less Uncollectible Accounts 1,001,000,000   1,001,000,000   923,000,000
Total Principal Outstanding 695,000,000   695,000,000   690,000,000
Delinquent Securitized Accounts Receivable 39,000,000   39,000,000   50,000,000
Bad Debt Reserves Related to Securitized Sale of Accounts Receivable 22,000,000   22,000,000   26,000,000
Unbilled Receivables Related to Securitization, Sale of Accounts Receivable 413,000,000   413,000,000   354,000,000
Financing Activities (Textuals) [Abstract]          
Commitment from Bank Conduits that Expire in One Year 375,000,000   375,000,000    
Commitment from Bank Conduits Including Seasonal Increase that Expire in One Year 425,000,000   425,000,000    
Commitment from Bank Conduits that Expire in Three Years 375,000,000   375,000,000    
Total Commitment from Bank Conduits to Finance Receivables. 750,000,000   750,000,000    
Total Commitment from Bank Conduits Including Seasonal Increase to Finance Receivables 800,000,000   800,000,000    
Amount Indicated on Cash Flows     1,074,000,000 1,161,000,000  
Trust Fund Assets One Time Fee Obligation For Nuclear Fuel Disposition 307,000,000   307,000,000   307,000,000
Auction Rate Tax Exempt Long Term Debt Outstanding 478,000,000   478,000,000    
Period To Defer Interest Payments On Debentures     10    
Maximum Future Payments for Letters of Credit 132,000,000   132,000,000    
Credit Agreement, 3 Year     478,000,000    
Maximum Percentage Debt To Capitalization     67.50%    
Variable Rate PCBs Supported 472,000,000   472,000,000    
Remarketed PCBs 357,000,000   357,000,000    
Bilateral Letters of Credit 361,000,000   361,000,000    
Remaining PCBs Held in Trust 115,000,000   115,000,000    
AEP Subsidiaries [Member]
         
Long-term Debt          
Long-term Debt 1,703,000,000   1,703,000,000   1,857,000,000
AEP Subsidiaries [Member] | Repayment Of Debt [Member] | Notes Payable One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     5,000,000    
Interest Rate, Variable     Variable    
Due Date     2017    
AEP Subsidiaries [Member] | Repayment Of Debt [Member] | Notes Payable Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     6,000,000    
Interest Rate, Variable     Variable    
Due Date     2011    
AEP Generating Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     45,000,000    
Interest Rate, Variable     variable    
Due Date     2014    
AEP Generating Co [Member] | Repayment Of Debt [Member] | Senior Unsecured Notes One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     4,000,000    
Interest Rate, in Percent 6.33%   6.33%    
Due Date     2037    
Public Service Co Of Oklahoma [Member]
         
Long-term Debt          
Less Portion Due Within One Year 233,000   233,000   25,000,000
Long-term Debt 945,417,000   945,417,000   946,186,000
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     275,000,000 0  
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     247,554,000 0  
Public Service Co Of Oklahoma [Member] | Issuance Of Debt [Member] | Notes Payable One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     2,000,000    
Interest Rate, in Percent 3.00%   3.00%    
Due Date     2026    
Public Service Co Of Oklahoma [Member] | Issuance Of Debt [Member] | Senior Unsecured Notes One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     250,000,000    
Interest Rate, in Percent 4.40%   4.40%    
Due Date     2021    
Public Service Co Of Oklahoma [Member] | Repayment Of Debt [Member] | Senior Unsecured Notes One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     200,000,000    
Interest Rate, in Percent 6.00%   6.00%    
Due Date     2032    
Public Service Co Of Oklahoma [Member] | Repayment Of Debt [Member] | Senior Unsecured Notes Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     75,000,000    
Interest Rate, in Percent 4.70%   4.70%    
Due Date     2011    
Indiana Michigan Power Co [Member]
         
Long-term Debt          
Less Portion Due Within One Year 151,100,000   151,100,000   154,457,000
Long-term Debt 1,813,994,000   1,813,994,000   1,849,769,000
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     116,526,000 19,208,000  
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     76,624,000 84,564,000  
Indiana Michigan Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     52,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2021    
Indiana Michigan Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     25,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2019    
Indiana Michigan Power Co [Member] | Repayment Of Debt [Member] | Notes Payable One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     13,000,000    
Interest Rate, in Percent 5.16%   5.16%    
Due Date     2014    
Indiana Michigan Power Co [Member] | Repayment Of Debt [Member] | Notes Payable Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     15,000,000    
Interest Rate, in Percent 5.44%   5.44%    
Due Date     2013    
Indiana Michigan Power Co [Member] | Repayment Of Debt [Member] | Notes Payable Three [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     11,000,000    
Interest Rate, Variable     Variable    
Due Date     2015    
Indiana Michigan Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     52,000,000    
Interest Rate, Variable     Variable    
Due Date     2021    
Indiana Michigan Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     25,000,000    
Interest Rate, Variable     Variable    
Due Date     2019    
Indiana Michigan Power Co [Member] | Notes Payable Three [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     2,000,000    
AEP Texas Central Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     60,000,000 [6]    
Interest Rate, in Percent 1.125%   1.125%    
Due Date     2012    
AEP Texas Central Co [Member] | Repayment Of Debt [Member] | Securitization Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     34,000,000    
Interest Rate, in Percent 5.96%   5.96%    
Due Date     2013    
AEP Texas Central Co [Member] | Repayment Of Debt [Member] | Securitization Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     58,000,000    
Interest Rate, in Percent 4.98%   4.98%    
Due Date     2013    
AEP Texas Central Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     121,000,000    
Interest Rate, in Percent 5.125%   5.125%    
Due Date     2011    
Appalachian Power Co [Member]
         
Long-term Debt          
Less Portion Due Within One Year 229,673,000   229,673,000   479,672,000
Long-term Debt 3,496,213,000   3,496,213,000   3,081,469,000
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     479,661,000 200,009,000  
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     640,164,000 363,913,000  
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     65,000,000    
Interest Rate, in Percent 2.00%   2.00%    
Due Date     2012    
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     75,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2036    
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Three [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     54,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2042    
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Four [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     50,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2036    
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds Five [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     50,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2042    
Appalachian Power Co [Member] | Issuance Of Debt [Member] | Senior Unsecured Notes One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     350,000,000    
Interest Rate, in Percent 4.60%   4.60%    
Due Date     2021    
Appalachian Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     75,000,000    
Interest Rate, Variable     Variable    
Due Date     2036    
Appalachian Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     54,000,000    
Interest Rate, Variable     Variable    
Due Date     2042    
Appalachian Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Three [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     50,000,000    
Interest Rate, Variable     Variable    
Due Date     2042    
Appalachian Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Four [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     50,000,000    
Interest Rate, Variable     Variable    
Due Date     2036    
Appalachian Power Co [Member] | Repayment Of Debt [Member] | Senior Unsecured Notes One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     250,000,000    
Interest Rate, in Percent 5.55%   5.55%    
Due Date     2011    
Southwestern Electric Power Co [Member]
         
Long-term Debt          
Less Portion Due Within One Year 61,135,000   61,135,000   41,135,000
Long-term Debt 1,708,511,000   1,708,511,000   1,728,385,000
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     0 53,500,000  
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     0 399,411,000  
Southwestern Electric Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Five [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     41,000,000    
Interest Rate, in Percent 4.50%   4.50%    
Due Date     2011    
Ohio Power Co [Member]
         
Long-term Debt          
Less Portion Due Within One Year 50,000,000   50,000,000   165,000,000
Long-term Debt 2,364,781,000   2,364,781,000   2,364,522,000
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     165,000,000 479,450,000  
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     49,768,000 163,944,000  
Ohio Power Co [Member] | Issuance Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Issuances     50,000,000 [6]    
Interest Rate, Variable     Variable    
Due Date     2014    
Ohio Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds One [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     65,000,000    
Interest Rate, Variable     Variable    
Due Date     2036    
Ohio Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Two [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     50,000,000    
Interest Rate, Variable     Variable    
Due Date     2014    
Ohio Power Co [Member] | Repayment Of Debt [Member] | Pollution Control Bonds Three [Member]
         
Long-term debt and other securities issued, retired and principal payments made          
Retirements and Principal Payments     50,000,000    
Interest Rate, Variable     Variable    
Due Date     2014    
Columbus Southern Power Co [Member]
         
Long-term Debt          
Less Portion Due Within One Year 194,500,000   194,500,000   0
Long-term Debt 1,244,469,000   1,244,469,000   1,438,830,000
Financing Activities (Textuals) [Abstract]          
Amount Indicated on Cash Flows     $ 0 $ 149,443,000  
[1] Pursuant to the Nuclear Waste Policy Act of 1982, IandM (a nuclear licensee) has an obligation to the United States Department of Energy for spent nuclear fuel disposal. The obligation includes a one-time fee for nuclear fuel consumed prior to April 7, 1983. Trust fund assets related to this obligation of $307 million at June 30, 2011 and December 31, 2010, are included in Spent Nuclear Fuel and Decommissioning Trusts on our Condensed Consolidated Balance Sheets.
[2] Amount indicated on the statement of cash flows of $1,074 million is net of issuance costs and premium or discount.
[3] Amount of securitized debt for receivables as accounted for under the ''Transfers and Servicing'' accounting guidance.
[4] Sabine Mining Company is a consolidated variable interest entity. This line of credit does not reduce available liquidity under AEP's credit facilities.
[5] Weighted average rate.
[6] These pollution control bonds are subject to redemption earlier than the maturity date. Consequently, these bonds have been classified for maturity purposes as Long-term Debt Due Within One Year on our Condensed Consolidated Balance Sheets.