SD_MTHSTLICAP
Installed Capacity Monthly Settlement Details

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

sd_mthstlicap
SD_MTHSTLICAP - Installed Capacity Monthly Settlement Details Report - Rev

Retired. 06.01.2010 PDF XLTX CSV

 

SD_MTHSTLICAP - Installed Capacity Monthly Settlement Details Report - Rev 1

SD_MTHSTLICAP_<customer id>_<settlement date>_<version>.CSV
<Customer Name>
Date: mm/dd/yyyy and Version: mm/dd/yyyy hh:mm:ss GMT

Availability: Monthly market settlement available to ICAP Transition Customers.

REPORT COLUMN

DESCRIPTION

Tab 1 (Generation)

Asset ID

Numerical identifier for the asset.

Asset Name

Name of the asset.

Seasonal Claimed Capability

Seasonal Claimed Capability (SCC) represents the Summer (SCC-S) and Winter (SCC-W) Claimed Capability of a generating unit in MW quantity.

Equivalent Forced Outage Rate

The measure by which Installed Capacity Suppliers will be rated.

Availability Factor Type

Method used to calculate the Availability Factor (Standard EFORd, Weighted EFORd, Class Average EFORd, Outage Factor, Class Average Outage Factor).

Monthly UCAP per Generation Asset

The SCC value adjusted by the Equivalent Forced Outage Rate.
SCC x (1 - (Availability Factor/100 ) ).

Ownership Share

A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a generating unit.

Monthly UCAP per Generation Asset per Participant

Monthly UCAP per Generation Asset allocated to Participants based on their ownership share.

Tab 2 (Load Response)

Asset ID

Numerical identifier for the asset.

Asset Name

Name of the asset.

Load Response Adjusted Capacity

The capacity MW value calculated by the load response settlement.

Ownership Share

A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a load response unit.

Load Response Adjusted Capacity per Participant

Load Response Adjusted Capacity allocated to Participants based on their ownership share.

Tab 3 (Load)

Asset ID

Numerical identifier for an asset.

Asset Name

Name of the asset.

Average UCAP Peak Contribution Value

Load Asset's monthly average of its daily UCAP peak contribution values.

Lead Asset Owner ID

Numerical identifier for the Lead Asset Owner of the asset.

Monthly UCAP Obligation per Load Asset

A load asset's pro rata share of the pool total peak contribution.

Ownership Share

A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a load asset.

Monthly UCAP Obligation per Load Asset per Participant

Monthly UCAP obligation per Load Asset allocated to the Participant based on ownership share.

Tab 4 (Daily UCAP Peak)

Date

Calendar date of the operating day.

Asset ID

Numerical identifier for an asset.

Asset Name

Name of the asset.

Daily UCAP Peak Contribution Value

UCAP peak contribution value by day.

Tab 5 (Transaction)

Transaction Number

An identifier generated by the Market System at time of transaction submittal.

Reference ID

A customer-specified string, supplied at the time of transaction submittal, used to facilitate the customer's organization and tracking of his transaction information.

Transaction Type

Internal, External or NYPA

Other Party

Counter-party to the transaction.

Amount

The UCAP MW value of the transaction.

Tab 6 (Credit)

Credit Type

HQICC, NYPA, ISO SUPPLY ADJUSTMENT, or ODR

Amount

The MW value for the credit.

Tab 7 (Disp Asset Related Demand)

Asset ID

Numerical identifier for the asset.

Asset Name

Name of the asset.

Nominated Consumption Limit

Nomination consumption limit in MW.

Metering Adjustment

Monthly average metering adjustment for asset in MW.

Non-Conforming Demand Bid Adjustment

Non-conforming demand bid adjustment in MW.

  Copyright ©2014 ISO New England Inc.