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end
</PDF>Unassociated Document

    
      

      

    

    
 

    
      Exhibit
        4.1

       

      UNLESS
        THIS
        CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY
        TRUST
        COMPANY (THE “DEPOSITARY”) TO THE COMPANY OR ITS AGENT
        FOR REGISTRATION OF TRANSFER, EXCHANGE OR PAYMENT, AND ANY CERTIFICATE TO
        BE
        ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR SUCH OTHER NAME AS
        REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITARY (AND ANY AMOUNT
        PAYABLE  THEREUNDER IS MADE PAYABLE TO CEDE & CO. OR SUCH OTHER
        NAME), ANY TRANSFER, PLEDGE OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY
        OR TO
        ANY PERSON IS WRONGFUL SINCE THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN
        INTEREST HEREIN.  UNLESS AND UNTIL THIS NOTE IS EXCHANGED IN WHOLE OR
        IN PART FOR CERTIFICATED NOTES REGISTERED IN THE NAMES OF THE VARIOUS BENEFICIAL
        HOLDERS HEREOF AS THEN CERTIFIED TO THE COMPANY AND THE TRUSTEE BY THE
        DEPOSITARY OR A SUCCESSOR DEPOSITARY, THIS NOTE MAY NOT BE TRANSFERRED EXCEPT
        AS
        A WHOLE BY THE DEPOSITARY TO ITS NOMINEE OR BY A NOMINEE OF THE DEPOSITARY
        TO
        THE DEPOSITARY OR ANOTHER NOMINEE OF THE DEPOSITARY OR BY THE DEPOSITARY
        OR ANY
        SUCH NOMINEE TO A SUCCESSOR DEPOSITARY OR A NOMINEE OF SUCH SUCCESSOR
        DEPOSITARY.  THIS NOTE MAY BE EXCHANGED FOR CERTIFICATED NOTES
        REGISTERED IN THE NAMES OF THE VARIOUS BENEFICIAL OWNERS HEREOF ONLY IF (A)
        THE
        DEPOSITARY (I) HAS NOTIFIED THE COMPANY THAT IT IS UNWILLING OR UNABLE TO
        CONTINUE AS DEPOSITARY OR (II) HAS CEASED TO BE A CLEARING AGENCY REGISTERED
        UNDER THE EXCHANGE ACT, AND, IN EITHER CASE, A SUCCESSOR DEPOSITARY IS NOT
        APPOINTED BY THE COMPANY WITHIN 90 DAYS, OR (B) THE COMPANY ELECTS TO ISSUE
        CERTIFICATED NOTES TO BENEFICIAL OWNERS (AS CERTIFIED TO THE COMPANY AND
        THE
        TRUSTEE BY THE DEPOSITARY OR A SUCCESSOR DEPOSITARY) OF ALL NOTES OF THE
        SERIES
        DESIGNATED ABOVE.

       

      NEITHER
        THIS NOTE
        NOR ANY BENEFICIAL INTEREST HEREIN HAS BEEN REGISTERED UNDER THE SECURITIES
        ACT
        OF 1933, AS AMENDED (THE “SECURITIES
        ACT”).  EACH OF THE HOLDER HEREOF, AND EACH OWNER OF A
        BENEFICIAL INTEREST HEREIN BY PURCHASING THIS NOTE, AGREES FOR THE BENEFIT
        OF
        PENNSYLVANIA ELECTRIC COMPANY (THE “COMPANY”) THAT
        THIS NOTE MAY NOT BE REOFFERED, RESOLD, PLEDGED OR OTHERWISE TRANSFERRED
        OTHER
        THAN (A) (1) TO THE COMPANY, (2) IN A TRANSACTION ENTITLED TO AN EXEMPTION
        FROM
        REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT, (3) SO LONG AS
        THIS
        NOTE IS ELIGIBLE FOR RESALE PURSUANT TO RULE 144A UNDER THE SECURITIES ACT
        (“RULE 144A”), TO A PERSON WHOM THE SELLER REASONABLY
        BELIEVES IS A QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A
        PURCHASING FOR ITS OWN ACCOUNT OR FOR THE ACCOUNT OF A QUALIFIED INSTITUTIONAL
        BUYER TO WHOM NOTICE IS GIVEN THAT THE RESALE, PLEDGE OR OTHER TRANSFER IS
        BEING
        MADE IN RELIANCE ON RULE 144A (AS INDICATED BY THE BOX CHECKED BY THE TRANSFEROR
        ON THE CERTIFICATE OF TRANSFER ON THE REVERSE OF THIS NOTE), (4) IN AN OFFSHORE
        TRANSACTION IN ACCORDANCE WITH RULE 903 OR 904 OF REGULATION S UNDER THE
        SECURITIES ACT (AS INDICATED BY THE BOX CHECKED BY THE TRANSFEROR ON THE
        CERTIFICATE OF TRANSFER ON THE REVERSE OF THIS NOTE), (5) IN ACCORDANCE WITH
        ANOTHER APPLICABLE EXEMPTION FROM THE REGISTRATION REQUIREMENTS OF THE
        SECURITIES ACT (AND BASED UPON AN OPINION OF COUNSEL ACCEPTABLE TO THE COMPANY),
        OR (6) PURSUANT TO AN EFFECTIVE REGISTRATION STATEMENT UNDER THE SECURITIES
        ACT
        AND (B) IN EACH CASE, IN ACCORDANCE WITH ANY APPLICABLE SECURITIES LAWS OF
        EACH
        STATE OF THE UNITED STATES.  THE HOLDER HEREOF, BY PURCHASING THIS
        NOTE, REPRESENTS AND AGREES FOR THE BENEFIT OF THE COMPANY THAT IT IS (1)
        A
        QUALIFIED INSTITUTIONAL BUYER WITHIN THE MEANING OF RULE 144A OR, (2) A NON
        U.S.
        PERSON OUTSIDE THE UNITED STATES WITHIN THE MEANING OF, OR AN ACCOUNT SATISFYING
        THE REQUIREMENTS OF, PARAGRAPH (k)(2) OF RULE 902 UNDER REGULATION S UNDER
        THE
        SECURITIES ACT.

       

      
        
           

        

        
           

          
            

          

        

        
           

        

      

      

       

      The
        holder of this
        Note, by acceptance hereof, will be deemed to have agreed to be bound by
        the
        provisions of the Registration Rights Agreement referred to herein.

       

      

      PENNSYLVANIA
        ELECTRIC COMPANY

      6.05%
        SENIOR
        NOTE DUE 2017

      

      

      ORIGINAL
        ISSUE
        DATE:  August 30, 2007

       

      INTEREST
        RATE:
        6.05%

       

      MATURITY
        DATE:  September 1, 2017

       

      INTEREST
        PAYMENT
        DATES:  Each March 1 and September 1, commencing March 1,
        2008

       

      PRINCIPAL
        AMOUNT:  $300,000,000                                                                                                                                                                                            
NUMBER:

      CUSIP:  708696
        BT 5

       

      PENNSYLVANIA
        ELECTRIC COMPANY, a corporation duly organized and existing under the laws
        of
        the Commonwealth of Pennsylvania (the “Company”), for value received hereby
        promises to pay to Cede & Co. or registered assigns, the principal sum of
        THREE HUNDRED MILLION DOLLARS ($300,000,000) on the Maturity Date set forth
        above, and to pay interest thereon from the Original Issue Date specified
        above
        or from the most recent Interest Payment Date to which interest has been
        paid or
        duly provided for, semiannually in arrears on the March 1 and September 1
        in
        each year, commencing March 1, 2008, at the per annum Interest Rate set forth
        above, until the principal hereof is paid or duly provided
        for.  Interest on this Note will accrue from and including the
        immediately preceding Interest Payment Date in respect of which interest
        has
        been paid or made available for payment (or from and including the Original
        Issue Date if no interest has been paid or made available for payment) to,
        but
        excluding, the applicable Interest Payment Date or Maturity, as the case
        may
        be.  No interest shall accrue on the Maturity Date, so long as the
        principal amount of this Global Note is paid on the Maturity
        Date.  The interest so payable and punctually paid or duly provided
        for on any such Interest Payment Date will, as provided in the Indenture
        (as
        defined below), be paid to the Person in whose name this Note is registered
        at
        the close of business on the Regular Record Date for such interest, which
        shall
        be the February 15th or August
        15th, as the
        case may
        be, next preceding such Interest Payment Date (whether or not a Business
        Day);
        provided, that the first Interest Payment Date for any part of this Note,
        the
        Original Issue Date of which is after a Regular Record Date but prior to
        the
        applicable Interest Payment Date, shall be the Interest Payment Date following
        the next succeeding Regular Record Date; and provided, that interest payable
        on
        the Maturity Date set forth above or, if applicable, upon redemption or
        acceleration, shall be payable to the Person to whom principal shall be
        paid.  Except as otherwise provided in the Indenture, any such
        interest not so punctually paid or duly provided for shall forthwith cease
        to be
        payable to the Holder on such Regular Record Date and shall be paid to the
        Person in whose name this Note is registered at the close of business on
        a
        Special Record Date for the payment of such defaulted interest to be fixed
        by
        the Trustee (defined below), notice whereof shall be given to Holders of
        Notes
        of this Series not more than fifteen days or fewer than ten days prior to
        such
        Special Record Date.

       

      
        
           

        

        
          2

          
            

          

        

        
           

        

      

      

       

      This
        Global Note is
        a global security in respect of a duly authorized issue of 6.05% Senior Notes
        due 2017 (the “Notes of this Series”, which term includes any Global Notes
        representing such Notes) of the Company issued and issuable in one or more
        series under an Indenture, dated as of April 1, 1999 (such Indenture as
        originally executed and delivered and as supplemented or amended from time
        to
        time thereafter, together with any constituent instruments establishing the
        terms of particular Notes, being herein called the “Indenture”), between the
        Company and United States Trust Company of New York, under which The Bank
        of New
        York is successor trustee (herein called the “Trustee”, which term includes any
        successor Trustee under the Indenture) and indentures supplemental
        thereto.  Under the Indenture, one or more series of notes may be
        issued and, as used herein, the term “Notes” refers to the Notes of this Series
        and any other outstanding series of Notes.  Reference is hereby made
        to the Indenture for a more complete statement of the respective rights,
        limitations of rights, duties and immunities thereunder of the Company, the
        Trustee and the Holders of the Notes and of the terms and conditions upon
        which
        the Notes are, and are to be, authenticated and delivered.  The
        acceptance of this Note shall be deemed to constitute the consent and agreement
        by the Holder hereof to all of the terms and provisions of the
        Indenture.  This Global Note has been issued in respect of the series
        designated on the first page hereof.

       

      Pursuant
        to the
        Registration Rights Agreement dated August 30, 2007 between the Company and
        Citigroup Global Markets Inc., Lehman Brothers Inc. and Scotia Capital (USA)
        Inc., as representatives of the initial purchasers (the “Registration Rights
        Agreement”), the Company will be obligated to consummate an exchange offer
        pursuant to which the Holder of this Note shall have the right to exchange
        this
        Note for the Company’s 6.05% Exchange Senior Note due 2017 (an “Exchange Note”),
        at such time as such Exchange Note shall have been registered under the
        Securities Act, in like principal amount and having terms identical in all
        material respects to this Note (except that such Exchange Note will not contain
        terms with respect to registration rights, the payment of additional interest,
        and other provisions restricting transfers and resales, including this
        paragraph).  The Holders of this Note shall be entitled to receive
        certain additional interest payments at the rate per annum of 0.25% in the
        event
        such exchange offer is not consummated within 210 days after the Original
        Issue
        Date and upon certain other conditions, all pursuant to and in accordance
        with
        the terms of the Registration Rights Agreement.

       

      Each
        Note of this
        Series shall be dated and issued as of the date of its authentication by
        the
        Trustee and shall bear an Original Issue Date.  Each Note or Global
        Note issued upon transfer, exchange or substitution of such Note or Global
        Note
        shall bear the Original Issue Date of such transferred, exchanged or substituted
        Note or Global Note, as the case may be.

       

      This
        Note is
        redeemable, as a whole or in part, at the Company’s option, at any time, at a
        redemption price equal to the greater of:

       

      
        	
                ·  

              	
                100%
                  of the
                  principal amount of the Notes being redeemed,
                  and

              

      

       

      
        	
                ·  

              	
                as
                  determined
                  by the Independent Investment Banker (as defined below), the sum
                  of the
                  present values of the Remaining Scheduled Payments (as defined
                  below),
                  discounted to the redemption date on a semiannual basis (assuming
                  a
                  360-day year consisting of twelve 30-day months) at the Adjusted
                  Treasury
                  Rate, plus 25 basis points,

              

      

       

      plus,
        in each case,
        accrued and unpaid interest on such notes to the date of
        redemption.

       

      
        
           

        

        
          3

          
            

          

        

        
           

        

      

      

       

      “Adjusted
        Treasury
        Rate” means, with respect to any redemption date:

       

      
        	
                ·  

              	
                the
                  yield,
                  under the heading which represents the average for the immediately
                  preceding week, appearing in the most recently published statistical
                  release designated “H.15(519)” or any successor publication which is
                  published weekly by the Board of Governors of the Federal Reserve
                  System
                  and which establishes yields on actively traded United States Treasury
                  securities adjusted to constant maturity under the caption “Treasury
                  Constant Maturities,” for the maturity corresponding to the Comparable
                  Treasury Issue (if no maturity is within three months before or
                  after the
                  Remaining Life, yields for two published maturities most closely
                  corresponding to the Comparable Treasury Issue shall be determined
                  and the
                  Adjusted Treasury Rate shall be interpolated or extrapolated from
                  these
                  yields on a straight line basis, rounding to the nearest month);
                  or

              

      

       

      
        	
                ·  

              	
                if
                  the release
                  (or any successor release) is not published during the week preceding
                  the
                  calculation date or does not contain these yields, the rate per
                  annum
                  equal to the semi-annual equivalent yield to maturity of the Comparable
                  Treasury Issue, calculated using a price for the Comparable Treasury
                  Issue
                  (expressed as a percentage of its principal amount) equal to the
                  Comparable Treasury Price for the redemption date.  The Adjusted
                  Treasury Rate will be calculated on the third Business Day preceding
                  the
                  redemption date.

              

      

       

      “Comparable
        Treasury
        Issue” means the United States Treasury security selected by an Independent
        Investment Banker as having a maturity comparable to the remaining term of
        the
        Notes of this Series to be redeemed that would be utilized, at the time of
        selection and in accordance with customary financial practice, in pricing
        new
        issues of corporate debt securities of comparable maturity to the remaining
        term
        of the Notes of this Series to be redeemed (“Remaining Life”).

       

      “Comparable
        Treasury
        Price” means (1) the average of three Reference Treasury Dealer Quotations for
        the redemption date, after excluding the highest and lowest Reference Treasury
        Dealer Quotations, or (2) if the Independent Investment Banker obtains fewer
        than three Reference Treasury Dealer Quotations, the average of all such
        quotations.

       

      “Independent
        Investment Banker” means one of the Reference Treasury Dealers appointed by the
        Company.

       

      “Reference
        Treasury
        Dealer” means:

       

      
        	
                ·  

              	
                each
                  of
                  Citigroup Global Markets Inc. and Lehman Brothers Inc., and their
                  respective successors; provided, however, that if any of the foregoing
                  cease to be a primary U.S. Government securities dealer in the
                  United
                  States (a “Primary Treasury Dealer”), the Company shall substitute
                  therefor another Primary Treasury Dealer;
                  and

              

      

       

      
        	
                ·  

              	
                any
                  other
                  Primary Treasury Dealer selected by the Independent Investment
                  Banker
                  after consultation with the
                  Company.

              

      

       

      “Reference
        Treasury
        Dealer Quotations” means, with respect to each Reference Treasury Dealer and any
        redemption date, the average, as determined by the Independent Investment
        Banker, of the bid and asked prices for the Comparable Treasury Issue (expressed
        in each case as a percentage of its principal amount) quoted in writing to
        the
        Independent Investment Banker at 5:00 p.m., New York City time, on the third
        Business Day preceding the redemption date.

       

      
        
           

        

        
          4

          
            

          

        

        
           

        

      

      “Remaining
        Scheduled
        Payments” means, with respect to the Notes of this Series to be redeemed, the
        remaining scheduled payments of principal of and interest on such Notes that
        would be due after the related redemption date but for such
        redemption.  If such redemption date is not an Interest Payment Date
        with respect to such Notes, the amount of the next succeeding scheduled interest
        payment on such Notes will be reduced by the amount of interest accrued on
        such
        Notes to such redemption date.

       

      Unless
        the Company
        defaults in payment of the redemption price, on and after the redemption
        date,
        interest will cease to accrue on the Notes of this Series or any portion
        of the
        Notes of this Series called for redemption (unless the Company defaults in
        the
        payment of the redemption price and accrued interest).  On or before
        the redemption date, the Company will deposit with a paying agent (or the
        Trustee) money sufficient to pay the redemption price of and accrued interest
        on
        the Notes of this Series to be redeemed on such date.  If less than
        all the Notes of this Series are to be redeemed, the Notes of this Series
        to be
        redeemed shall be selected by the Trustee by such method as the Trustee shall
        deem fair and appropriate.

       

      Notice
        of redemption
        shall be given by mail to Holders of Notes of this Series, not less than
        30 days
        nor more than 60 days prior to the date fixed for redemption, all as provided
        in
        the Indenture.  As provided in the Indenture, notice of redemption at
        the election of the Company as aforesaid may state that such redemption shall
        be
        conditional upon the receipt by the Trustee of money sufficient to pay the
        principal of and premium, if any, and interest, if any, on this Note on or
        prior
        to the date fixed for such redemption; a notice of redemption so conditioned
        shall be of no force or effect if such money is not so received and, in such
        event, the Company shall not be required to redeem this Note.

       

      In
        the event of
        redemption of this Note in part only, a new Note or Notes of this series,
        of
        like tenor, representing the unredeemed portion hereof shall be issued in
        the
        name of the Holder hereof upon the cancellation hereof.

       

      Interest
        payments
        for this Global Note shall be computed and paid on the basis of a 360-day
        year
        of twelve 30-day months.  If any Interest Payment Date or date on
        which the principal of this Global Note is required to be paid is not a Business
        Day, then payment of principal, premium or interest need not be made on such
        date but may be made on the next succeeding Business Day with the same force
        and
        effect as if made on such Interest Payment Date or date on which the principal
        of this Global Note is required to be paid and, in the case of timely payment
        thereof, no interest shall accrue for the period from and after such Interest
        Payment Date or the date on which the principal of this Global Note is required
        to be paid.

       

      The
        Company, at its
        option, and subject to the terms and conditions provided in the Indenture,
        will
        be discharged from any and all obligations in respect of the notes (except
        for
        certain obligations including obligations to register the transfer exchange
        of
        Notes, replace stolen, lost or mutilated Notes, maintain paying agencies
        and
        hold monies for payment in trust, all set forth in the Indenture) if the
        Company
        deposits with the Trustee cash, U.S. Government Obligations which through
        the
        payment of interest thereof and principal thereof in accordance with their
        terms
        will provide cash, or a combination of cash and U.S. Government Obligations,
        in
        any event in an amount sufficient, without reinvestment, to pay all the
        principal of and any premium and interest on the Notes on the dates such
        payments are due in accordance with the terms of the Notes.

       

      If
        an Event of
        Default shall occur and be continuing, the principal of the Notes may be
        declared due and payable in the manner and with the effect provided in the
        Indenture.

       

      The
        Indenture
        permits, with certain exceptions as therein provided, the amendment thereof
        and
        the modifications of the rights and obligations of the Company and the rights
        of
        the Noteholders under the Indenture at any time by the Company and the Trustee
        with the consent of the Holders of not less than a majority in principal
        amount
        of the outstanding Notes.  Any such consent or waiver by the Holder of
        this Global Note shall be conclusive and binding upon such Holder and upon
        all
        future Holders of this Global Note and of any Note issued upon the registration
        of transfer hereof or in exchange therefor or in lieu thereof whether or
        not
        notation of such consent or waiver is made upon the Note.

       

      
        
           

        

        
          5

          
            

          

        

        
           

        

      

       

      As
        set forth in and
        subject to the provisions of the Indenture, no Holder of any Notes will have
        any
        right to institute any proceeding with respect to the Indenture or for any
        remedy thereunder unless such Holder shall have previously given to the Trustee
        written notice of a continuing Event of Default with respect to such Notes,
        the
        Holders of not less than a majority in principal amount of the outstanding
        Notes
        affected by such Event of Default shall have made written request and offered
        reasonable indemnity to the Trustee to institute such proceeding as Trustee
        and
        the Trustee shall have failed to institute such proceeding within 60 days;
        provided, however, that such limitations do not apply to a suit instituted
        by
        the Holder hereof for the enforcement of payment of the principal of and
        any
        premium or interest on this Note on or after the respective due dates expressed
        here.

       

      No
        reference herein
        to the Indenture and no provision of this Global Note or of the Indenture
        shall
        alter or impair the obligation of the Company, which is absolute and
        unconditional, to pay the principal of and any premium and interest on this
        Global Note at the times, places and rates and the coin or currency, and
        in the
        manner, herein prescribed.

       

      The
        Notes of this
        Series are issuable only as registered Notes, without coupons, and in minimum
        denominations of $2,000 and integral multiples of $1,000 in excess
        thereof.  As provided in the Indenture and subject to certain
        limitations therein set forth, Notes of this Series are exchangeable for
        a like
        aggregate principal amount of Notes of the same series and tranche, of any
        authorized denominations, as requested by the Holder surrendering the same,
        and
        of like tenor upon surrender of the Note or Notes to be exchanged at the
        Corporate Trust Office of the Trustee in New York, New York, or such other
        office or agency as may be designated by the Company from time to
        time.

       

      No
        service charge
        shall be made for any such registration of transfer or exchange, but the
        Company
        may require payment of a sum sufficient to cover any tax or other governmental
        charge payable in connection therewith.

       

      Prior
        to due
        presentment of this Note for registration of transfer, the Company, the Trustee
        and any agent of the Company or the Trustee may treat the Person in whose
        name
        this Note is registered as the absolute owner hereof for all purposes, whether
        or not this Note be overdue, and neither the Company, the Trustee nor any
        such
        agent shall be affected by notice to the contrary.

       

      Each
        Holder shall be
        deemed to understand that the offer and sale of this Note has not been
        registered under the Securities Act and that this Note may not be offered
        or
        sold except as permitted in the following sentence.  Each Holder shall
        be deemed to agree, on its own behalf and on behalf of any accounts for which
        it
        is acting as hereinafter stated, that if such Holder sells any Notes, such
        Holder will do so only (A) to the Company, (B) to a person whom it reasonably
        believes is a “qualified institutional buyer” within the meaning of Rule 144A
        under the Securities Act that purchases for its own account or for the account
        of a qualified institutional buyer to whom notice is given that the resale,
        pledge or transfer is being made in reliance on Rule 144A, (C) in an offshore
        transaction in accordance with Rule 903 or 904 of Regulation S under the
        Securities Act, (D) pursuant to the exemption from registration provided
        by Rule
        144 under the Securities Act (if available), (E) in accordance with another
        applicable exemption from the registration requirements of the Securities
        Act
        (and based upon an Opinion of Counsel acceptable to the Company), or (F)
        pursuant to an effective registration statement under the Securities Act,
        and
        each Holder is further deemed to agree to provide to any person purchasing
        any
        Notes from it a notice advising such purchaser that resales of the Notes
        are
        restricted as stated herein.

       

      Each
        Holder shall be
        deemed to understand that, on any proposed resale of any Notes pursuant to
        the
        exemption from registration under Rule 144 under the Securities Act, any
        Holder
        making any such proposed resale will be required to furnish to the Trustee
        and
        Company such certifications, legal opinions, and other information as the
        Trustee and Company may reasonably require to confirm that the proposed sale
        complies with the foregoing restrictions.

       

      
        
           

        

        
          6

          
            

          

        

        
           

        

      

      

       

      The
        Indenture and
        the Notes shall be governed by and construed in accordance with the laws
        of the
        State of New York.

       

      As
        used herein,
“Business Day” shall mean each day that is not a day on which banking
        institutions or trust companies in the Borough of Manhattan, the City and
        State
        of New York, or in the city where the Corporate Trust Office of the Trustee
        is
        located, are obligated or authorized by law or executive order to
        close.

       

      Unless
        the
        certificate of authentication hereon has been executed by the Trustee, directly
        or through an Authenticating Agent by manual or facsimile signature of an
        authorized officer, this Global Note shall not be entitled to any benefit
        under
        the Indenture or be valid or obligatory for any purpose.

       

      All
        terms used in
        this Global note which are defined in the Indenture shall have the meanings
        assigned to them in the Indenture unless otherwise indicated
        herein.

       

      
        
           

        

        
          7

          
            

          

        

        
           

        

      

      IN
        WITNESS WHEREOF,
        the Company has caused this instrument to be duly executed.

       

      
        	 	 	
                PENNSYLVANIA
                  ELECTRIC COMPANY

              
	 	 	 	 
	
                Dated:  August
                  30, 2007

              	 	
                BY:

              	 
	 	 	 	
                Randy
                  Scilla

              
	 	 	 	
                Assistant
                  Treasurer

              
	 	 	 	 
	 	 	 	 
	 	 	 	 
	 	 	
                Attest:

              	 
	 	 	 	
                Rhonda
                  S.
                  Ferguson

              
	 	 	 	
                Corporate
                  Secretary

              

      

      

       

      

      TRUSTEE’S
        CERTIFICATE

      OF
        AUTHENTICATION

       

      This
        Note is one of
        the Notes of the series

      herein
        designated,
        described or provided for

      in
        the
        within-mentioned Indenture.

       

      THE
        BANK OF NEW
        YORK,

      as
        Trustee

       

      

       

      
        	
                By:

              	 
	 	
                Authorized
                  Officer

              

      

      
        
           

        

        
           

          
            

          

        

        
           

        

      

      
        
          

            CERTIFICATE
              OF TRANSFER

             

            6.05%
              SENIOR
              NOTE DUE 2017

             

            FOR
              VALUE
              RECEIVED, the undersigned sells, assigns, and transfers
              unto

             

            PLEASE
              INSERT SOCIAL
              SECURITY OR OTHER

             

            IDENTIFYING
              NUMBER
              OF ASSIGNEE

             

            Name
              and address of
              assignee must be printed or typewritten:

             

            $_______________________________________________________________________________________________________________________________________

            principal
              amount of
              or beneficial interests* in
              the within Note of the Company and does hereby irrevocably constitute
              and
              appoint ________________________ to transfer the said principal amount
              of or
              beneficial interests in said Note on the books of the within-named
              Company, with
              full power of substitution in the premises.

             

            The
              undersigned
              certifies that said principal amount of or beneficial interests in
              said Note are
              being resold, pledged, or otherwise transferred as follows:  (check
              one)

             

                       o 
to
              the
              Company;

             

                       o       
              to a Person whom the undersigned reasonably believes is a qualified
              institutional buyer within the meaning of Rule 144A under the Securities
              Act of
              1933, as amended (the “Securities Act”) purchasing for its own account or for
              the account of a qualified institutional buyer to whom notice is given
              that the
              resale, pledge, or other transfer is being made in reliance on Rule
              144A;

             

                       o       
              in an offshore transaction in accordance with Rule 903 or 904 of Regulation
              S
              under the Securities Act;

             

                       o       
              to an institution that is an “accredited investor” as defined in Rule 501(a)(1),
              (2), (3) or (7) under the Securities Act in a minimum principal amount
              of $2,000
              for its own account or in a minimum principal amount of $2,000 for
              the account
              of another such “accredited investor” (attach a copy of the Letter to be
              Delivered by Accredited Investors in the form annexed signed by an
              authorized
              officer of the transferee);

             

                       o       
              as otherwise permitted by the non-registration legend appearing on
              this Note;
              or

             

                       o       
              as otherwise agreed by the Company, confirmed in writing to the Trustee,
              as
              follows:  [describe]

             

            
_____________________________

            
               

              
                	
                        *

                      	
                        transfers
                          of
                          beneficial interests in this security may be made only
                          to another global
                          security of the same series or as otherwise permitted by
                          applicable
                          securities laws.

                      

              

               

            

          

          
            
               

            

            
               

              
                

              

            

            
               

            

          

           

        

      

      
        	
                Dated:

              	 	 	
                Signature:

              	 
	 	 	
                Print
                  name:

              

      

      

       

      NOTICE.  The
        signature to this assignment must correspond with the name as written upon
        the
        face of the Note in every particular without alteration or enlargement or
        any
        change whatsoever.

       

      SIGNATURE
        GUARANTEE.  Signatures must be guaranteed by an “eligible
        guarantor institution” meeting the requirements of the Trustee, which
        requirements include membership or participation in the Security Transfer
        Agent
        Medallion Program (“STAMP”) or such other “signature guarantee program” as may
        be determined by the Trustee in addition to, or in substitution for, STAMP,
        all
        in accordance with the Securities Exchange Act of 1934, as amended.

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