Item 8.01.Other Events

On November 10, 2021, American Electric Power Company, Inc. (the "Company") entered into an Underwriting Agreement with BofA Securities, Inc., Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and RBC Capital Markets, LLC as representatives of the underwriters named therein, relating to the offering and sale by the Company of $750,000,000 of 3.875% Fixed-to-Fixed Reset Rate Junior Subordinated Debentures (the "Debentures").

Item 9.01. Financial Statements and Exhibits



(c)  Exhibits

1(a)               Underwriting Agreement, dated November 10, 2021, between the Company and
                 the Underwriters named in Exhibit 1 thereto, in connection with the sale of
                 the Notes.

4(a)               Supplemental Indenture No. 3 between the Company and The Bank of New York
                 Mellon Trust Company, N.A. as trustee, dated November 15, 2021, establishing
                 the terms of the Debentures.

4(b)               Form of the Debentures     (included in Exhibit 4(a) hereto)    .

5(a)               Opinion of David C. House regarding the legality of the Debentures.

8(a)               Opinion of Simpson Thacher & Bartlett LLP regarding certain tax matters.

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