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Financing Activities (Details) - USD ($)
$ in Millions
1 Months Ended 3 Months Ended 9 Months Ended
Oct. 25, 2018
Sep. 30, 2018
Sep. 30, 2017
Sep. 30, 2018
Sep. 30, 2017
Dec. 31, 2017
Long-term Debt            
Senior Unsecured Notes   $ 18,342.1   $ 18,342.1   $ 16,478.3
Pollution Control Bonds   1,643.2   1,643.2   1,621.7
Notes Payable   233.2   233.2   260.8
Securitization Bonds   1,145.2   1,145.2   1,416.5
Spent Nuclear Fuel Obligation [1]   272.1   272.1   268.6
Other Long-term Debt   1,138.2   1,138.2   1,127.4
Total Long-term Debt Outstanding   22,774.0   22,774.0   21,173.3
Long-term Debt Due Within One Year   1,904.2   1,904.2   1,753.7
Long-term Debt   20,869.8   20,869.8   19,419.6
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       3,612.6    
Retirements and Principal Payments       1,959.5 $ 2,427.2  
Short-term Debt:            
Securitized Debt for Receivables [3]   750.0   750.0   718.0
Commercial Paper   1,473.2   1,473.2   898.6
Notes Payable   19.4   19.4   22.0
Total Short-term Debt   $ 2,242.6   $ 2,242.6   $ 1,638.6
Securitized Debt for Receivables [3],[4]   2.06%   2.06%   1.22%
Comparative Accounts Receivable Information            
Effective Interest Rates on Securitization of Accounts Receivable   2.27% 1.33% 2.06% 1.17%  
Net Uncollectible Accounts Receivable Written Off   $ 9.6 $ 7.0 $ 19.0 $ 18.2  
Customer Accounts Receivable Managed Portfolio            
Accounts Receivable Retained Interest and Pledged as Collateral Less Uncollectible Accounts   1,082.9   1,082.9   $ 925.5
Total Principal Outstanding   750.0   750.0   718.0
Delinquent Securitized Accounts Receivable   58.2   58.2   41.1
Bad Debt Reserves Related to Securitization, Sale of Accounts Receivable   29.3   29.3   28.7
Unbilled Receivables Related to Securitization, Sale of Accounts Receivable   242.1   242.1   303.2
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   4,333.1 4,104.7 12,394.6 11,614.5  
Financing Activities (Textuals)            
Trust Fund Assets One Time Fee Obligation for Nuclear Fuel Disposition   316.0   316.0   $ 312.0
Repayments of Long-term Debt       1,959.5 2,427.2  
Reacquired Pollution Controls Bonds Held by Trustees   574.0   $ 574.0    
Maximum Percentage Debt to Capitalization       67.50%    
Total Commitment from Bank Conduits to Finance Receivables   $ 750.0   $ 750.0    
Commercial Paper [Member]            
Short-term Debt:            
Weighted Average Interest Rate [4]   2.40%   2.40%   1.85%
Loans Payable [Member]            
Short-term Debt:            
Weighted Average Interest Rate [4]   3.45%   3.45%   2.92%
AEP Texas Inc. [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 3,914.4   $ 3,914.4   $ 3,649.3
Long-term Debt Due Within One Year   500.5   500.5   266.1
Long-term Debt   3,413.9   3,413.9   3,383.2
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       231.7 248.4  
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   407.3        
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 231.7 $ 248.4  
Maximum Percentage Debt to Capitalization       67.50%    
AEP Texas Inc. [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 390.6    
Maximum Loans to Money Pool       106.9    
Average Borrowings from Money Pool       189.9    
Average Loans to Money Pool       47.1    
Net Loans (Borrowings) to/from Money Pool   (77.8)   (77.8)    
Authorized Short Term Borrowing Limit       $ 500.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.25% 1.29%  
Average Interest Rate For Funds Loaned       2.29% 1.35%  
AEP Texas Inc. [Member] | Nonutility [Member]            
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Loans to Money Pool       $ 8.4    
Average Loans to Money Pool       8.1    
Net Loans (Borrowings) to/from Money Pool   $ 8.0   $ 8.0    
Maximum and Minimum Interest Rates            
Maximum Interest Rate For Funds Loaned       2.52% 1.49%  
Minimum Interest Rate for Funds Loaned       1.83% 0.00%  
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Loaned       2.26% 1.27%  
AEP Texas Inc. [Member] | Securitization Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 70.0    
Interest Rate (Percentage)   5.17%   5.17%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 70.0    
AEP Texas Inc. [Member] | Securitization Bonds Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 27.6    
Interest Rate (Percentage)   1.976%   1.976%    
Due Date       2020    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 27.6    
AEP Texas Inc. [Member] | Securitization Bonds Three [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 104.1    
Interest Rate (Percentage)   5.306%   5.306%    
Due Date       2020    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 104.1    
AEP Texas Inc. [Member] | Senior Unsecured Notes [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 500.0    
Interest Rate (Percentage)   3.95%   3.95%    
Due Date       2028    
AEP Texas Inc. [Member] | Senior Unsecured Notes Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 30.0    
Interest Rate (Percentage)   5.89%   5.89%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 30.0    
AEP Transmission Co [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 2,872.6   2,872.6   2,550.4
Long-term Debt Due Within One Year   50.0   50.0   50.0
Long-term Debt   2,822.6   2,822.6   2,500.4
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold [5]   206.8        
Financing Activities (Textuals)            
Sub-Limit of Secured Debt   $ 50.0   $ 50.0    
Maximum Percentage of Consolidated Tangible Net Assets   10.00%   10.00%    
Maximum Percentage Debt to Capitalization       67.50%    
AEP Transmission Co [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 371.3    
Maximum Loans to Money Pool       232.7    
Average Borrowings from Money Pool       237.9    
Average Loans to Money Pool       28.1    
Net Loans (Borrowings) to/from Money Pool   $ 232.7   232.7    
Authorized Short Term Borrowing Limit [6]       $ 795.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.26% 1.36%  
Average Interest Rate For Funds Loaned       2.04% 1.04%  
AEP Transmission Co [Member] | Direct Borrowing [Member]            
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 1.1    
Maximum Loans to Money Pool       104.7    
Average Borrowings from Money Pool       1.1    
Average Loans to Money Pool       50.0    
Borrowings from Parent   1.1   1.1    
Loans to Parent   $ 45.3   45.3    
Authorized Short Term Borrowing Limit [7]       $ 75.0    
Maximum and Minimum Interest Rates            
Maximum Interest Rate for Funds Borrowed       2.52% 1.49%  
Minimum Interest Rate For Funds Borrowed       1.76% 0.92%  
Maximum Interest Rate For Funds Loaned       2.52% 1.49%  
Minimum Interest Rate for Funds Loaned       1.76% 0.92%  
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.26% 1.27%  
Average Interest Rate For Funds Loaned       2.27% 1.31%  
AEP Transmission Co [Member] | Senior Unsecured Notes [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 325.0    
Interest Rate (Percentage)   4.25%   4.25%    
Due Date       2048    
Appalachian Power Co [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 4,061.7   $ 4,061.7   3,980.1
Long-term Debt Due Within One Year   430.7   430.7   249.2
Long-term Debt   3,631.0   3,631.0   3,730.9
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       24.0 $ 377.9  
Accounts Receivable and Accrued Unbilled Revenues            
Accounts Receivable and Accrued Unbilled Revenues   122.9   122.9   136.2
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   764.1        
Proceeds from Sale of Receivables            
Proceeds from Sale of Receivables to AEP Credit   334.1 335.5 1,079.2 1,029.4  
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 24.0 377.9  
Maximum Percentage Debt to Capitalization       67.50%    
Appalachian Power Co [Member] | Servicing Contracts [Member]            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   1.8 1.5 $ 5.1 $ 4.2  
Appalachian Power Co [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 295.5    
Maximum Loans to Money Pool       23.7    
Average Borrowings from Money Pool       185.3    
Average Loans to Money Pool       23.4    
Net Loans (Borrowings) to/from Money Pool   $ (75.4)   (75.4)    
Authorized Short Term Borrowing Limit       $ 600.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.22% 1.24%  
Average Interest Rate For Funds Loaned       2.19% 1.28%  
Appalachian Power Co [Member] | Pollution Control Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 104.4    
Interest Rate (Percentage)   2.625%   2.625%    
Due Date       2022    
Appalachian Power Co [Member] | Securitization Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 24.0    
Interest Rate (Percentage)   2.008%   2.008%    
Due Date       2023    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 24.0    
Indiana Michigan Power Co [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 3,062.4   3,062.4   2,745.1
Long-term Debt Due Within One Year   172.7   172.7   474.7
Long-term Debt   2,889.7   2,889.7   2,270.4
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       856.1 $ 227.1  
Accounts Receivable and Accrued Unbilled Revenues            
Accounts Receivable and Accrued Unbilled Revenues   169.5   169.5   136.5
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   619.5        
Proceeds from Sale of Receivables            
Proceeds from Sale of Receivables to AEP Credit   498.4 409.9 1,401.7 1,218.9  
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 856.1 227.1  
Maximum Percentage Debt to Capitalization       67.50%    
Indiana Michigan Power Co [Member] | Servicing Contracts [Member]            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   2.5 1.8 $ 6.8 $ 4.9  
Indiana Michigan Power Co [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 322.1    
Maximum Loans to Money Pool       657.8    
Average Borrowings from Money Pool       257.6    
Average Loans to Money Pool       116.4    
Net Loans (Borrowings) to/from Money Pool   $ 72.5   72.5    
Authorized Short Term Borrowing Limit       $ 500.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.16% 1.24%  
Average Interest Rate For Funds Loaned       2.06% 1.27%  
Indiana Michigan Power Co [Member] | Notes Payable, Other Payables [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 55.5    
Interest Rate (Variable)       Variable    
Due Date       2022    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 3.5    
Interest Rate (Variable)       Variable    
Due Date       2019    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 3.5    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Three [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 10.1    
Interest Rate (Variable)       Variable    
Due Date       2019    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 10.1    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Four [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 18.8    
Interest Rate (Variable)       Variable    
Due Date       2020    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 18.8    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Five [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 19.5    
Interest Rate (Variable)       Variable    
Due Date       2021    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 19.5    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payables Six [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 21.3    
Interest Rate (Variable)       Variable    
Due Date       2022    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 21.3    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Seven [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 6.7    
Interest Rate (Variable)       Variable    
Due Date       2022    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 6.7    
Indiana Michigan Power Co [Member] | Notes Payable, Other Payable Eight [Member] | Subsequent Event [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments $ 4.0          
Financing Activities (Textuals)            
Repayments of Long-term Debt $ 4.0          
Indiana Michigan Power Co [Member] | Other Long Term Debt [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 200.0    
Interest Rate (Variable)       Variable    
Due Date       2021    
Indiana Michigan Power Co [Member] | Other Long Term Debt Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 200.0    
Interest Rate (Variable)       Variable    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 200.0    
Indiana Michigan Power Co [Member] | Other Long Term Debt Three [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 1.2    
Interest Rate (Percentage)   6.00%   6.00%    
Due Date       2025    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 1.2    
Indiana Michigan Power Co [Member] | Pollution Control Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 100.0    
Interest Rate (Percentage)   3.05%   3.05%    
Due Date       2025    
Indiana Michigan Power Co [Member] | Pollution Control Bonds Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 100.0    
Interest Rate (Percentage)   1.75%   1.75%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 100.0    
Indiana Michigan Power Co [Member] | Senior Unsecured Notes [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 350.0    
Interest Rate (Percentage)   3.85%   3.85%    
Due Date       2028    
Indiana Michigan Power Co [Member] | Senior Unsecured Notes Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 475.0    
Interest Rate (Percentage)   4.25%   4.25%    
Due Date       2048    
Indiana Michigan Power Co [Member] | Senior Unsecured Notes Three [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 475.0    
Interest Rate (Percentage)   7.00%   7.00%    
Due Date       2019    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 475.0    
Ohio Power Co [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 1,716.3   1,716.3   1,719.3
Long-term Debt Due Within One Year   47.8   47.8   397.0
Long-term Debt   1,668.5   1,668.5   1,322.3
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       397.0 $ 46.4  
Accounts Receivable and Accrued Unbilled Revenues            
Accounts Receivable and Accrued Unbilled Revenues   413.7   413.7   367.4
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   740.9        
Proceeds from Sale of Receivables            
Proceeds from Sale of Receivables to AEP Credit   695.2 616.3 2,046.9 1,741.7  
Financing Activities (Textuals)            
Repayments of Long-term Debt       397.0 46.4  
Reacquired Pollution Controls Bonds Held by Trustees   345.0   345.0    
Ohio Power Co [Member] | Servicing Contracts [Member]            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   7.2 6.1 $ 18.8 $ 16.5  
Ohio Power Co [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 270.8    
Maximum Loans to Money Pool       225.0    
Average Borrowings from Money Pool       169.0    
Average Loans to Money Pool       189.4    
Net Loans (Borrowings) to/from Money Pool   $ (242.9)   (242.9)    
Authorized Short Term Borrowing Limit       $ 500.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.18% 1.40%  
Average Interest Rate For Funds Loaned       2.47% 0.98%  
Ohio Power Co [Member] | Other Long Term Debt [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 0.1    
Interest Rate (Percentage)   1.149%   1.149%    
Due Date       2028    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.1    
Ohio Power Co [Member] | Securitization Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 46.9    
Interest Rate (Percentage)   2.049%   2.049%    
Due Date       2019    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 46.9    
Ohio Power Co [Member] | Senior Unsecured Notes [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 400.0    
Interest Rate (Percentage)   4.15%   4.15%    
Due Date       2048    
Ohio Power Co [Member] | Senior Unsecured Notes Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 350.0    
Interest Rate (Percentage)   6.05%   6.05%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 350.0    
Public Service Co Of Oklahoma [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 1,286.9   1,286.9   1,286.5
Long-term Debt Due Within One Year   0.5   0.5   0.5
Long-term Debt   1,286.4   1,286.4   1,286.0
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       0.3 $ 0.3  
Accounts Receivable and Accrued Unbilled Revenues            
Accounts Receivable and Accrued Unbilled Revenues   163.0   163.0   115.1
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   479.1        
Proceeds from Sale of Receivables            
Proceeds from Sale of Receivables to AEP Credit   454.9 407.0 1,171.2 1,022.6  
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.3 0.3  
Maximum Percentage Debt to Capitalization       67.50%    
Public Service Co Of Oklahoma [Member] | Servicing Contracts [Member]            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   2.3 2.0 $ 6.0 $ 5.2  
Public Service Co Of Oklahoma [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 193.7    
Maximum Loans to Money Pool       30.9    
Average Borrowings from Money Pool       119.8    
Average Loans to Money Pool       10.1    
Net Loans (Borrowings) to/from Money Pool   $ (22.0)   (22.0)    
Authorized Short Term Borrowing Limit       $ 300.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.25% 1.30%  
Average Interest Rate For Funds Loaned       1.86% 0.00%  
Public Service Co Of Oklahoma [Member] | Other Long Term Debt [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 0.3    
Interest Rate (Percentage)   3.00%   3.00%    
Due Date       2027    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.3    
Southwestern Electric Power Co [Member]            
Long-term Debt            
Total Long-term Debt Outstanding   $ 3,072.7   3,072.7   2,441.9
Long-term Debt Due Within One Year   457.2   457.2   3.7
Long-term Debt   2,615.5   2,615.5   2,438.2
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       385.3 $ 353.6  
Short-term Debt:            
Notes Payable   19.4   19.4   22.0
Accounts Receivable and Accrued Unbilled Revenues            
Accounts Receivable and Accrued Unbilled Revenues   190.5   190.5   $ 138.2
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   535.6        
Proceeds from Sale of Receivables            
Proceeds from Sale of Receivables to AEP Credit   512.6 455.0 1,364.6 1,200.8  
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 385.3 353.6  
Maximum Percentage Debt to Capitalization       67.50%    
Southwestern Electric Power Co [Member] | Servicing Contracts [Member]            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold            
Fees Paid to AEP Credit for Customer Accounts Receivable Sold   2.6 $ 2.0 $ 6.6 $ 5.4  
Southwestern Electric Power Co [Member] | Utility [Member]            
Maximum Interest Rate       2.52% 1.49%  
Minimum Interest Rate       1.81% 0.92%  
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Borrowings from Money Pool       $ 200.1    
Maximum Loans to Money Pool       525.5    
Average Borrowings from Money Pool       143.2    
Average Loans to Money Pool       343.3    
Net Loans (Borrowings) to/from Money Pool   516.6   516.6    
Authorized Short Term Borrowing Limit       $ 350.0    
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Borrowed       2.31% 1.26%  
Average Interest Rate For Funds Loaned       1.87% 0.98%  
Southwestern Electric Power Co [Member] | Nonutility [Member]            
Money Pool Participants Money Pool Activity And Authorized Borrowing Limits            
Maximum Loans to Money Pool       $ 2.0    
Average Loans to Money Pool       2.0    
Net Loans (Borrowings) to/from Money Pool   $ 2.0   $ 2.0    
Maximum and Minimum Interest Rates            
Maximum Interest Rate For Funds Loaned       2.52% 1.49%  
Minimum Interest Rate for Funds Loaned       1.83% 0.00%  
Average Interest Rates for Funds Borrowed From and Loaned to Money Pool            
Average Interest Rate For Funds Loaned       2.26% 1.27%  
Southwestern Electric Power Co [Member] | Notes Payable, Other Payables [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 3.2    
Interest Rate (Percentage)   4.58%   4.58%    
Due Date       2032    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 3.2    
Southwestern Electric Power Co [Member] | Other Long Term Debt [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 0.2    
Interest Rate (Percentage)   3.50%   3.50%    
Due Date       2023    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.2    
Southwestern Electric Power Co [Member] | Other Long Term Debt Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 0.2    
Interest Rate (Percentage)   4.28%   4.28%    
Due Date       2023    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.2    
Southwestern Electric Power Co [Member] | Pollution Control Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 81.7    
Interest Rate (Percentage)   4.95%   4.95%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 81.7    
Southwestern Electric Power Co [Member] | Senior Unsecured Notes [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 575.0    
Interest Rate (Percentage)   4.10%   4.10%    
Due Date       2028    
Southwestern Electric Power Co [Member] | Senior Unsecured Notes Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 450.0    
Interest Rate (Percentage)   3.85%   3.85%    
Due Date       2048    
Southwestern Electric Power Co [Member] | Senior Unsecured Notes Three [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 300.0    
Interest Rate (Percentage)   5.875%   5.875%    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 300.0    
Southwestern Electric Power Co [Member] | Loans Payable [Member]            
Short-term Debt:            
Weighted Average Interest Rate [4]   3.45%   3.45%   2.92%
AEP Energy [Member] | Notes Payable, Other Payables [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 0.1    
Interest Rate (Percentage)   5.75%   5.75%    
Due Date       2019    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 0.1    
Transource Energy [Member] | Other Long Term Debt [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 12.7    
Interest Rate (Variable)       Variable    
Due Date       2020    
Wheeling Power Co [Member] | Pollution Control Bonds [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Issuances [2]       $ 65.0    
Interest Rate (Percentage)   3.00%   3.00%    
Due Date       2022    
Wheeling Power Co [Member] | Pollution Control Bonds Two [Member]            
Long-term Debt and Other Securities Issued, Retired and Principal Payments Made            
Retirements and Principal Payments       $ 65.0    
Interest Rate (Variable)       Variable    
Due Date       2018    
Financing Activities (Textuals)            
Repayments of Long-term Debt       $ 65.0    
July 2020 [Member]            
Financing Activities (Textuals)            
Commitment From Bank Conduits To Finance Receivables   $ 125.0   125.0    
July 2021 [Member]            
Financing Activities (Textuals)            
Commitment From Bank Conduits To Finance Receivables   $ 625.0   $ 625.0    
[1] Pursuant to the Nuclear Waste Policy Act of 1982, I&M, 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 were $316 million and $312 million as of September 30, 2018 and December 31, 2017, respectively, and are included in Spent Nuclear Fuel and Decommissioning Trusts on the balance sheets.
[2] Amounts indicated on the statements of cash flows are net of issuance costs and premium or discount and will not tie to the issuance amounts.
[3] Amount of securitized debt for receivables as accounted for under the “Transfers and Servicing” accounting guidance.
[4] Weighted average rate.
[5] The amounts presented reflect the revisions made to AEPTCo’s previously issued financial statements. For additional details on revisions made to AEPTCo’s financial statements, see Note 1- Significant Accounting Matters.
[6] Amount represents the combined authorized short-term borrowing limit the State Transcos have from FERC or state regulatory commissions.
[7] Amount represents the combined authorized short-term borrowing limit the State Transcos have from FERC or state regulatory commissions.