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WISCONSIN ELECTRIC POWER CO (WELPP)
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Create: Alert |
All | News | Filings
Date Filed | Type | Description |
04/28/2023 |
8-K
| Submission of Matters to a Vote of Security Holders Interactive Data |
10/03/2022 |
8-K
| Quarterly results |
09/22/2022 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data
Docs:
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"Underwriting Agreement, among the Company and BofA Securities, Inc., BMO Capital Markets Corp., RBC Capital Markets, LLC, and Scotia Capital (USA) Inc., as representatives of the several underwriters, relating to $500,000,000 aggregate principal amount of the Company’s 4.75% Debentures due September 30, 2032",
"Securities Resolution No. 20 of the Company, under the Indenture for Debt Securities, between the Company and U.S. Bank Trust Company, National Association (as successor to Firstar Trust Company), as Trustee",
"Opinion of Joshua M. Erickson, Vice President and Deputy General Counsel" |
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06/23/2022 |
8-K
| Quarterly results |
04/29/2022 |
8-K
| Quarterly results |
04/28/2022 |
8-K
| Other Events Interactive Data |
08/12/2021 |
8-K
| Quarterly results |
06/14/2021 |
8-K
| Quarterly results |
05/12/2021 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data
Docs:
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"INDENTURE by and between WEPCO ENVIRONMENTAL TRUST FINANCE I, LLC, Issuer and U.S. BANK NATIONAL ASSOCIATION, Indenture Trustee and Securities Intermediary Dated as of May 12, 2021",
"Environmental Trust Bond Interest Rate Scheduled Final Payment Date Final Maturity Date A $ 118,814,000 1.578 % December 15, 2033 December 15, 2035 The Environmental Trust Bond Interest Rate shall be computed on the basis of a 360-day year of twelve 30-day months. SECTION 3. Authentication Date; Payment Dates; Expected Amortization Schedule for Principal; Periodic Interest; Book-Entry Environmental Trust Bonds; Waterfall Caps . Authentication Date . The Environmental Trust Bonds that are authenticated and delivered by the Indenture Trustee to or upon the order of the Issuer on May 12, 2021 shall have as their date of authentication May 12, 2021. Payment Dates . The “ Payment Dates ” for the Environmental Trust Bonds are June 15 and December 15 of each year or, if any such date is not a Bus...",
"Letter re: Registration Statement on Form SF-1",
"Letter re: WEPCo Environmental Trust Finance I, LLC Environmental Trust Bonds, Series 2021",
"ENVIRONMENTAL CONTROL PROPERTY PURCHASE AND SALE AGREEMENT by and between WEPCO ENVIRONMENTAL TRUST FINANCE I, LLC, Issuer and WISCONSIN ELECTRIC POWER COMPANY, Seller Dated as of May 12, 2021",
"ENVIRONMENTAL CONTROL PROPERTY SERVICING AGREEMENT",
"Administrative Agreement, by and between Wisconsin Electric Power Company and WEPCo Environmental Trust Finance I, LLC",
"* *",
"To: The persons listed on Exhibit A attached hereto Re: Opinion Concerning State Constitutional Issues Pertaining to WEPCo Environmental Trust Finance I, LLC Environmental Trust Bonds, Series 2021" |
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05/06/2021 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data
Docs:
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"WEPCO Environmental trust finance i, llc WISCONSIN ELECTRIC POWER COMPANY $118,814,000 SENIOR SECURED Environmental Trust BONDS UNDERWRITING AGREEMENT",
"INDENTURE by and between WEPCO ENVIRONMENTAL TRUST FINANCE I, LLC, Issuer and U.S. BANK NATIONAL ASSOCIATION, Indenture Trustee and Securities Intermediary Dated as of May 12, 2021",
"Environmental Trust Bond Interest Rate Scheduled Final Payment Date Final Maturity Date A $ 118,814,000 1.578 % December 15, 2033 December 15, 2035 The Environmental Trust Bond Interest Rate shall be computed on the basis of a 360-day year of twelve 30-day months. SECTION 3. Authentication Date; Payment Dates; Expected Amortization Schedule for Principal; Periodic Interest; Book-Entry Environmental Trust Bonds; Waterfall Caps . Authentication Date . The Environmental Trust Bonds that are authenticated and delivered by the Indenture Trustee to or upon the order of the Issuer on May 12, 2021 shall have as their date of authentication May 12, 2021. Payment Dates . The “ Payment Dates ” for the Environmental Trust Bonds are June 15 and December 15 of each year or, if any such date is not a Bus...",
"ENVIRONMENTAL CONTROL PROPERTY PURCHASE AND SALE AGREEMENT by and between WEPCO ENVIRONMENTAL TRUST FINANCE I, LLC, Issuer and WISCONSIN ELECTRIC POWER COMPANY, Seller Dated as of May 12, 2021",
"ENVIRONMENTAL CONTROL PROPERTY SERVICING AGREEMENT",
"Administrative Agreement, to be dated May 12, 2021, by and between Wisconsin Electric Power Company and WEPCo Environmental Trust Finance I, LLC" |
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04/30/2021 |
8-K
| Quarterly results |
03/30/2021 |
8-K
| Quarterly results |
03/12/2021 |
8-K
| Quarterly results |
05/04/2020 |
8-K
| Quarterly results |
12/10/2019 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data
Docs:
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"WISCONSIN ELECTRIC POWER COMPANY DEBT SECURITIES UNDERWRITING AGREEMENT",
"The Company will furnish to any Securityholder upon written request and without charge a copy of the Indenture and the Securities Resolution, which contains the text of this Security in larger type. Requests may be made to: Corporate Secretary, Wisconsin Electric Power Company, 231 West Michigan Street, P.O. Box 2046, Milwaukee, WI 53201. 6 WISCONSIN ELECTRIC POWER COMPANY 2.05% Debentures due December 15, 2024 Supplemental Terms In addition to the terms set forth in Exhibit 1 to Securities Resolution No. 18, the 2.05% Debentures shall have the following terms: Section 1. Definitions. Capitalized terms used and not defined herein shall have the meaning given such terms in the Indenture. The following is an additional definition applicable to the 2.05% Debentures: “ Depositary ” means, with...",
"[Wisconsin Electric Letterhead]" |
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08/26/2019 |
8-K
| Other Events Interactive Data |
04/29/2019 |
8-K
| Submission of Matters to a Vote of Security Holders |
02/01/2019 |
8-K
| Other Events |
10/03/2018 |
8-K
| Other Events, Financial Statements and Exhibits
Docs:
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"Underwriting Agreement, among the Company and BNP Paribas Securities Corp., PNC Capital Markets LLC, Scotia Capital (USA) Inc. and TD Securities (USA) LLC, as representatives of the several underwriters, relating to $300,000,000 aggregate principal amount of the Company’ s 4.30% Debentures due October 15, 2048",
"Securities Resolution No. 17 of the Company, under the Indenture for Debt Securities, between the Company and U.S. Bank National Association (as successor to Firstar Trust Company), as Trustee",
"Opinion of Joshua M. Erickson, Director – Legal Services – Corporate and Finance" |
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04/30/2018 |
8-K
| Quarterly results |
09/12/2017 |
8-K
| Quarterly results |
07/26/2017 |
8-K
| Form 8-K - Current report: |
05/04/2016 |
8-K
| Form 8-K - Current report |
05/02/2016 |
8-K
| Form 8-K - Current report |
02/26/2016 |
8-K
| Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements... |
11/17/2015 |
8-K
| Other Events, Financial Statements and Exhibits
Docs:
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"Underwriting Agreement, among the Company and Morgan Stanley & Co. LLC, RBC Capital Markets, LLC, BMO Capital Markets Corp. and U.S. Bancorp Investments, Inc., as representatives of the several underwriters, relating to $250,000,000 aggregate principal amount of the Company's 4.30% Debentures due December 15, 2045",
"Securities Resolution No. 16 of the Company, under the Indenture for Debt Securities, between the Company and U.S. Bank National Association (as successor to Firstar Trust Company), as Trustee",
"Opinion of Joshua M. Erickson, Director — Legal Services — Corporate and Finance" |
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10/16/2015 |
8-K
| Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements... |
06/29/2015 |
8-K
| Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements... |
05/19/2015 |
8-K
| Other Events, Financial Statements and Exhibits
Docs:
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"Underwriting Agreement, among the Company and Morgan Stanley & Co. LLC, Mitsubishi UFJ Securities (USA), Inc., RBC Capital Markets, LLC, and BMO Capital Markets Corp., as representatives of the several underwriters, relating to $250,000,000 aggregate principal amount of the Company's 3.10% Debentures due June 1, 2025",
"Securities Resolution No. 15 of the Company, under the Indenture for Debt Securities, between the Company and U.S. Bank National Association (as successor to Firstar Trust Company), as Trustee",
"Opinion of Joshua M. Erickson, Counsel" |
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05/04/2015 |
8-K
| Submission of Matters to a Vote of Security Holders |
04/30/2015 |
8-K
| Other Events |
03/13/2015 |
8-K
| Other Events |
01/13/2015 |
8-K
| Other Events |
12/29/2014 |
8-K
| Other Events |
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