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Fair Value Long-term Debt, Other Temporary Investments, Nuclear Trusts (Details) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding $ 40,142,300,000   $ 40,142,300,000   $ 36,801,000,000
Long Term Debt, Fair Value [1] 36,351,300,000   36,351,300,000   32,915,900,000
Other Temporary Investments          
Cost 232,800,000   232,800,000   223,600,000
Gross Unrealized Gains 24,400,000   24,400,000   19,400,000
Gross Unrealized Losses (8,900,000)   (8,900,000)   (8,300,000)
Other Short-term Investments 248,300,000   248,300,000   234,700,000
Debt and Equity Securities Within Other Temporary Investments          
Proceeds from Investment Sales 0 $ 11,100,000 0 $ 15,000,000.0  
Purchases of Investments 1,300,000 800,000 2,300,000 1,600,000  
Gross Realized Gains on Investment Sales 0 3,300,000 0 3,600,000  
Gross Realized Losses on Investment Sales 0 400,000 0 500,000  
Nuclear Trust Fund Investments          
Fair Value 3,648,800,000   3,648,800,000   3,341,200,000
Securities Activity Within Decommissioning and SNF Trusts          
Payments to Acquire Investments     1,235,600,000 1,254,800,000  
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 3,648,800,000   3,648,800,000   3,341,200,000
Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Securities Activity Within Decommissioning and SNF Trusts          
Payments to Acquire Investments 697,000,000.0 745,500,000 1,233,300,000 1,253,200,000  
Realized Investment Gains (Losses) 6,400,000 10,900,000 54,800,000 16,700,000  
Gain (Loss) on Investments 3,700,000 17,900,000 12,300,000 25,100,000  
Contractual Maturities, Fair Value of Debt Securities          
Within 1 year 325,000,000.0   325,000,000.0    
After 1 year through 5 years 496,900,000   496,900,000    
After 5 years through 10 years 219,200,000   219,200,000    
After 10 years 222,900,000   222,900,000    
Fair Value Measurements (Textuals)          
Adjusted Cost of Debt Securities 1,300,000,000   1,300,000,000   1,200,000,000
Adjusted Cost of Domestic Equity Securities 640,000,000   640,000,000   654,000,000
Other than Temporary Impairment Losses, Investments     (27,300,000)   (28,500,000)
Proceeds from Sale of Other Investments 688,700,000 736,400,000 1,206,300,000 1,229,900,000  
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (25,000,000.0)   (25,000,000.0)   (29,000,000.0)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 1,736,400,000   1,736,400,000   1,496,300,000
Cash [Member]          
Other Temporary Investments          
Cost [2] 45,800,000   45,800,000   47,100,000
Gross Unrealized Gains [2] 0   0   0
Gross Unrealized Losses [2] 0   0   0
Other Short-term Investments [2] 45,800,000   45,800,000   47,100,000
Fixed Income Funds [Member]          
Nuclear Trust Fund Investments          
Fair Value 1,264,000,000   1,264,000,000   1,188,700,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 1,264,000,000   1,264,000,000   1,188,700,000
Fixed Income Funds [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (27,300,000)   (28,500,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (20,400,000)   (20,400,000)   (22,600,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 10,700,000   10,700,000   12,600,000
Mutual Funds Fixed Income [Member]          
Other Temporary Investments          
Cost [3] 155,700,000   155,700,000   152,400,000
Gross Unrealized Gains [3] 0   0   0
Gross Unrealized Losses [3] (8,900,000)   (8,900,000)   (8,300,000)
Other Short-term Investments [3] 146,800,000   146,800,000   144,100,000
Domestic [Member]          
Nuclear Trust Fund Investments          
Fair Value [4] 2,360,600,000   2,360,600,000   2,131,300,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value [4] 2,360,600,000   2,360,600,000   2,131,300,000
Domestic [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (4,600,000)   (4,600,000)   (6,400,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 1,725,700,000   1,725,700,000   1,483,700,000
Mutual Funds Equity [Member]          
Other Temporary Investments          
Cost 15,400,000   15,400,000   15,100,000
Gross Unrealized Gains 24,400,000   24,400,000   19,400,000
Gross Unrealized Losses 0   0   0
Other Short-term Investments [4] 39,800,000   39,800,000   34,500,000
Cash and Cash Equivalents [Member]          
Nuclear Trust Fund Investments          
Fair Value [5] 24,200,000   24,200,000   21,200,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value [5] 24,200,000   24,200,000   21,200,000
Cash and Cash Equivalents [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax 0   0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 0   0   0
US Government Agencies Debt Securities [Member]          
Nuclear Trust Fund Investments          
Fair Value 1,191,900,000   1,191,900,000   1,123,800,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 1,191,900,000   1,191,900,000   1,123,800,000
US Government Agencies Debt Securities [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (25,600,000)   (18,800,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (13,800,000)   (13,800,000)   (14,900,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 9,900,000   9,900,000   11,800,000
Corporate Debt [Member]          
Nuclear Trust Fund Investments          
Fair Value 68,800,000   68,800,000   61,600,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 68,800,000   68,800,000   61,600,000
Corporate Debt [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (1,700,000)   (9,600,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (6,600,000)   (6,600,000)   (7,700,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 800,000   800,000   700,000
State and Local Jurisdiction [Member]          
Nuclear Trust Fund Investments          
Fair Value 3,300,000   3,300,000   3,300,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 3,300,000   3,300,000   3,300,000
State and Local Jurisdiction [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   (100,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax 0   0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 0   0   100,000
Other Cash Deposits [Member]          
Other Temporary Investments          
Cost 15,900,000   15,900,000   9,000,000.0
Gross Unrealized Gains 0   0   0
Gross Unrealized Losses 0   0   0
Other Short-term Investments 15,900,000   15,900,000   9,000,000.0
AEP Texas Inc. [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 5,937,500,000   5,937,500,000   5,657,800,000
Long Term Debt, Fair Value 5,295,500,000   5,295,500,000   5,045,800,000
AEP Transmission Co [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 5,473,000,000   5,473,000,000   4,782,800,000
Long Term Debt, Fair Value 4,719,200,000   4,719,200,000   3,940,500,000
Appalachian Power Co [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 5,599,700,000   5,599,700,000   5,410,500,000
Long Term Debt, Fair Value 5,298,400,000   5,298,400,000   5,079,200,000
Indiana Michigan Power Co [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 3,464,100,000   3,464,100,000   3,260,800,000
Long Term Debt, Fair Value 3,174,200,000   3,174,200,000   2,929,000,000
Nuclear Trust Fund Investments          
Fair Value 3,648,800,000   3,648,800,000   3,341,200,000
Securities Activity Within Decommissioning and SNF Trusts          
Payments to Acquire Investments     1,233,300,000 1,253,200,000  
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 3,648,800,000   3,648,800,000   3,341,200,000
Indiana Michigan Power Co [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Securities Activity Within Decommissioning and SNF Trusts          
Payments to Acquire Investments 697,000,000.0 745,500,000 1,233,300,000 1,253,200,000  
Realized Investment Gains (Losses) 6,400,000 10,900,000 54,800,000 16,700,000  
Gain (Loss) on Investments 3,700,000 17,900,000 12,300,000 25,100,000  
Contractual Maturities, Fair Value of Debt Securities          
Within 1 year 325,000,000.0   325,000,000.0    
After 1 year through 5 years 496,900,000   496,900,000    
After 5 years through 10 years 219,200,000   219,200,000    
After 10 years 222,900,000   222,900,000    
Fair Value Measurements (Textuals)          
Adjusted Cost of Debt Securities 1,300,000,000   1,300,000,000   1,200,000,000
Adjusted Cost of Domestic Equity Securities 640,000,000   640,000,000   654,000,000
Other than Temporary Impairment Losses, Investments     (27,300,000)   (28,500,000)
Proceeds from Sale of Other Investments 688,700,000 $ 736,400,000 1,206,300,000 $ 1,229,900,000  
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (25,000,000.0)   (25,000,000.0)   (29,000,000.0)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 1,736,400,000   1,736,400,000   1,496,300,000
Indiana Michigan Power Co [Member] | Fixed Income Funds [Member]          
Nuclear Trust Fund Investments          
Fair Value 1,264,000,000   1,264,000,000   1,188,700,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 1,264,000,000   1,264,000,000   1,188,700,000
Indiana Michigan Power Co [Member] | Fixed Income Funds [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (27,300,000)   (28,500,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (20,400,000)   (20,400,000)   (22,600,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 10,700,000   10,700,000   12,600,000
Indiana Michigan Power Co [Member] | Domestic [Member]          
Nuclear Trust Fund Investments          
Fair Value [4] 2,360,600,000   2,360,600,000   2,131,300,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value [4] 2,360,600,000   2,360,600,000   2,131,300,000
Indiana Michigan Power Co [Member] | Domestic [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (4,600,000)   (4,600,000)   (6,400,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 1,725,700,000   1,725,700,000   1,483,700,000
Indiana Michigan Power Co [Member] | Cash and Cash Equivalents [Member]          
Nuclear Trust Fund Investments          
Fair Value [5] 24,200,000   24,200,000   21,200,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value [5] 24,200,000   24,200,000   21,200,000
Indiana Michigan Power Co [Member] | Cash and Cash Equivalents [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax 0   0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 0   0   0
Indiana Michigan Power Co [Member] | US Government Agencies Debt Securities [Member]          
Nuclear Trust Fund Investments          
Fair Value 1,191,900,000   1,191,900,000   1,123,800,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 1,191,900,000   1,191,900,000   1,123,800,000
Indiana Michigan Power Co [Member] | US Government Agencies Debt Securities [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (25,600,000)   (18,800,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (13,800,000)   (13,800,000)   (14,900,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 9,900,000   9,900,000   11,800,000
Indiana Michigan Power Co [Member] | Corporate Debt [Member]          
Nuclear Trust Fund Investments          
Fair Value 68,800,000   68,800,000   61,600,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 68,800,000   68,800,000   61,600,000
Indiana Michigan Power Co [Member] | Corporate Debt [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     (1,700,000)   (9,600,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax (6,600,000)   (6,600,000)   (7,700,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 800,000   800,000   700,000
Indiana Michigan Power Co [Member] | State and Local Jurisdiction [Member]          
Nuclear Trust Fund Investments          
Fair Value 3,300,000   3,300,000   3,300,000
Contractual Maturities, Fair Value of Debt Securities          
Fair Value 3,300,000   3,300,000   3,300,000
Indiana Michigan Power Co [Member] | State and Local Jurisdiction [Member] | Spent Nuclear Fuel and Decommissioning Trusts [Member]          
Fair Value Measurements (Textuals)          
Other than Temporary Impairment Losses, Investments     0   (100,000)
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax 0   0   0
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Gain, before Tax 0   0   100,000
Ohio Power Co [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 3,365,600,000   3,365,600,000   2,970,300,000
Long Term Debt, Fair Value 2,878,800,000   2,878,800,000   2,516,600,000
Public Service Co Of Oklahoma [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 2,383,900,000   2,383,900,000   1,912,800,000
Long Term Debt, Fair Value 2,106,100,000   2,106,100,000   1,635,800,000
Southwestern Electric Power Co [Member]          
Book Values and Fair Values of Long - term Debt          
Total Long-term Debt Outstanding 3,645,600,000   3,645,600,000   3,391,600,000
Long Term Debt, Fair Value 3,135,300,000   3,135,300,000   2,870,900,000
Equity Units [Member]          
Book Values and Fair Values of Long - term Debt          
Long Term Debt, Fair Value $ 844,000,000   $ 844,000,000   $ 877,000,000
[1] The fair value amounts include debt related to AEP’s Equity Units and had a fair value of $844 million and $877 million as of June 30, 2023 and December 31, 2022, respectively. See “Equity Units” section of Note 12 for additional information.
[2] Primarily represents amounts held for the repayment of debt.
[3] Primarily short and intermediate maturities which may be sold and do not contain maturity dates.
[4] Amounts represent publicly traded equity securities and equity-based mutual funds.
[5] Amounts in “Other’’ column primarily represent accrued interest receivables from financial institutions.  Level 1 amounts primarily represent investments in money market funds.