sd_rsvastdtl
Reserve Asset Detail

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

sd_rsvastdtl Modified. Added new columns "Subaccount ID" and "Subaccount Name" in the "Asset", "Forward Reserve", "Real-Time Reserve" and "Failure-to-Activate" sections. 05.21.2014 PDF XLTX CSV

View Archived Status at the foot of this page

 

SD_RSVASTDTL – Reserve Asset Detail Report –
Rev 8

SD_RSVASTDTL_<customer id>_<settlement date>_<version>.CSV
<Customer Name>
Date: mm/dd/yyyy and Version: mm/dd/yyyy hh:mm:ss GMT
Availability: Post-market settlement to Participants with Resource ownership.

REPORT COLUMN

DESCRIPTION

Asset Section

Trading Interval

Specific hour for which the information is reported. Numeric from 1 – 24 (daylight-saving extra hour = 02X). Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).

Asset ID

Numerical identifier for the asset.

Asset Name

Name of the asset

Asset Type

Specified Asset type such as;

  • GENERATOR
  • LOAD
Eco Min / Consumption Min Lowest unrestricted level of Energy, in MW, of a Customer’s Generating Unit, or lowest level of Energy consumed, in MW, by a Customer’s Load Asset.
Eco Max / Consumption Max

Highest unrestricted level of Energy, in MW, of a Customer’s Generating Unit or highest level of Energy consumed, in MW, by a Customer’s Load Asset.

Implicit Self-Scheduled Regulation MWs Regulation Output Level for a Unit that is Partially Self Scheduled for Regulation for the Hour.
RMR Flag Unit flagged to provide Reliability Must Run support for a specified Reliability Region.
VAR Flag Unit flagged to provide VAR (Volt Ampere Reactive) support.
Unit Status Displays the Unit Status (Must Run, Economic, or Unavailable).

Day Ahead Cleared MWs

The number of MWs associated with a bid or offer cleared in the Day-Ahead Market.
Revenue Quality Metering A generator’s actual metered output for an hour.

Forward Reserve Ramp Rate

Ramp rate used to calculate ramping capability in 10 or 30 minutes.

Forward Reserve Threshold Price

Daily price calculated by multiplying a heat rate times a fuel index. The heat rate will remain constant for the entire Forward Reserve Service Period (4/8 months), and the Fuel Index used each day will be the lesser of the Natural Gas or No. 2 Fuel Oil forward price index.

Calculation Method

The Unit Status will determine if a unit is on- or off-line, which will determine the method for calculating Qualifying MWs.

Forward Reserve Qualifying MWs

The generator’s Forward Reserve Qualified MWs for an hour.

10 Minute Claimed Capability

MW’s of NPCC 10-Minute non-synchronous reserve that a Generating Unit or Dispatchable Asset Related Demand unit can provide.

Ramping Capability in 10 Minutes

Forward Reserve Ramp Rate in MW/Minute multiplied by the time of 10 Minutes.
Forward Reserve TMNSR Qualifying MWs

The quantity of 10-Minute Forward Reserve that qualifies in a specific Reserve Zone.

Generators:
Off-line Forward TMNSR Reserve Qualifying MW’s =
   Min [Asset Qualifying MW’s, Claim10]
On-line TMNSR Forward Reserve Qualifying MW’s =
   Min [Asset Qualifying MW’s, Reserve Ramp Rate * 10]
Dispatchable Asset Related Demand:
   Min [Asset Qualifying MW’s, Claim10]

30 Minute Claimed Capability MW’s of NPCC 30-Minute non-synchronous reserve that a Generating Unit or Asset Related Demand unit can provide.
Ramping Capability in 30 Minutes Forward Reserve Ramp Rate in MW/Minute multiplied by the time of 30 Minutes.
Forward Reserve TMOR Qualifying MWs

The quantity of 30-Minute Forward Reserve that qualifies in a specific Reserve Zone.

Generators:
Off-line Forward TMOR Reserve Qualifying MW’s =
   Min [Asset Qualifying MW’s, Claim30] – Forward Reserve TMNSR
    Qualifying MWs
On-line TMOR Forward Reserve Qualifying MW’s =
    Min [Asset Qualifying MW’s, Reserve Ramp Rate * 30] - Reserve     TMNSR Qualifying MWs
Dispatchable Asset Related Demand:
Min [Asset Qualifying MW’s, Claim30] - Reserve TMNSR Qualifying MWs

Forward Reserve Eligible

A flag indicating if the Resource meets the eligibility requirements to provide Forward Reserves, as detailed in Market Rule 1.
Day-Ahead Nodal LMP The Day Ahead Locational Marginal Price for Energy at the Node at which the asset is located.

Real-Time Nodal LMP

The Real Time Locational Marginal Price for Energy at the Node at which the asset is located.

Real-Time TMNSR Reserve Market Clearing Price

Reserve Zone TMNSR Clearing Price, as defined in Market Rule 1.

Reserve Penalty Factor Portion of Real-Time TMNSR RMCP

The amount of the Real-Time TMNSR Reserve Market Clearing Price attributable to a Reserve Constraint Penalty Factor.

Forward Reserve Day-Ahead Energy Obligation Credit MW

Calculated when the DA Nodal Energy LMP >= Forward Reserve Threshold Price, and the Real Time TMNSR Market Clearing Price > 0

Generators: The minimum of the DA Cleared MWs or Revenue Quality Metering, minus the MWs offered above the Forward Reserve Threshold Price.

Dispatchable Asset Related Demand: The minimum of the DA Cleared MWs or Revenue Quality Metering, plus the Forward Reserve MWs offered above the Forward Reserve Threshold Price. This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Forward Reserve Real-Time Energy Obligation Credit MW

Calculated when the Real Time TMNSR Market Clearing Price > 0.

Generators: (Revenue Quality Metering MWs minus the maximum of DA Cleared MWs or the Forward Reserve MWs offered below the Forward Reserve Threshold Price), multiplied by [(RT TMNSR Reserve Market Clearing Price minus the Reserve Penalty Factor Portion of TMNSR RMCP) / RT TMNSR RMCP]

Dispatchable Asset Related Demand: (Minimum of the absolute value of DA Cleared MWs or the Forward Reserve MWs offered above the Forward Reserve Threshold Price, plus the Revenue Quality Metering MWs), multiplied by [(RT TMNSR Reserve Market Clearing Price minus the Reserve Penalty Factor Portion of TMNSR RMCP) / RT TMNSR RMCP] This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Forward Reserve Energy Obligation Credit Limit MW

The sum of the Forward Reserve Day-Ahead Energy Obligation Credit MW and the Forward Reserve Real-Time Energy Obligation Credit MW.

This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Forward Reserve Adjusted Outage Exemption MWs

A Resource’s MWs approved by the ISO for an annual scheduled maintenance outage or on a scheduled maintenance outage that has been moved at the ISO’s request, limited to the Resource’s seasonal claimed capability (Fast Start Generator) or the Resource’s ramp rate * 30 (if not a Fast Start Generator).

Performance EcoMax / Performance Consumption Min

Generators: The Eco Max value, in MW, adjusted in Real-Time for a performance related reason.

Dispatchable Asset Related Demand: The Consumption Min value, in MW, adjusted in Real-Time for a performance-related reason.

Performance Audit Flag

A flag indicating a Claim 10/30 test was performed during the Trading Interval.

Real-Time External Transaction Sale MW

The sum of all External Transaction Sales in the Energy Market in which the following applies:

  • The Asset is backing the sale
  • The customer submitted the transaction
  • The Asset’s Load Zone is directly adjacent to and electrically interconnected to External Node associated with the Sale
  • The transaction has been flagged as Local Second Contingency Commitment.
This column will be reported for market dates beginning June 1, 2010.
Subaccount ID The alpha numeric identifier for the subaccount associated with the asset.  This field shall contain a NULL value when subaccount reporting is not enabled. 

Subaccount Name

The name of the subaccount.  This field shall contain a NULL value when subaccount reporting is not enabled.

Forward Reserve Section

Trading Interval

Specific hour for which the information is reported. Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).

Reserve Zone ID

Numerical identifier for a Reserve Zone

Reserve Zone Name

Name of the Reserve Zone
Asset ID Numerical identifier for the asset.
Asset Name Name of the asset
   
Asset Type

Specified Asset type such as;

  • GENERATOR
  • LOAD
Ownership Share A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with an Asset.
Forward Reserve TMNSR Available MWs The Forward Reserve TMNSR Qualifying MWs less any MWs from that Resource delivered in a more constrained Reserve Zone.
Forward Reserve TMNSR Assigned MWs The MWs designated by the Participant to provide Forward Reserve TMNSR capability in the Reserve Zone.
Asset Forward Reserve TMNSR Delivered MWs The minimum of the Forward Reserve TMNSR Available MWs or Forward Reserve TMNSR Assigned MWs.
Forward Reserve TMNSR Energy Obligation Credit MWs

The minimum amount of: Asset Forward Reserve TMNSR Delivered MWs or Forward Reserve Energy Obligation Credit Limit MWs, adjusted for any amounts applied in a more constrained Reserve Zone or to a higher value product.

This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Asset TMNSR Failure-to-Reserve Penalty Exempt MWs The lesser of the Forward Reserve TMNSR Assigned MWs or the Forward Reserve Adjusted Outage Exemption MW, adjusted for any amounts previously applied in a more constrained Reserve Zone / higher value product.
Participant Share Asset Forward Reserve TMNSR Delivered MWs Asset Forward Reserve TMNSR Delivered MWs allocated to Participants based on their ownership share.
Participant Share of Forward Reserve TMNSR Energy Obligation Credit MWs

Forward Reserve TMNSR Energy Obligation Credit MWs allocated to Participants based on their ownership share.

This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Participant Share Asset TMNSR Failure-to-Reserve Penalty Exempt MWs Asset TMNSR Failure-to-Reserve Penalty Exempt MWs allocated to Participants based on their ownership share.
Forward Reserve TMOR Available MWs The Forward Reserve TMOR Qualifying MWs less any MWs from that Resource delivered for TMNSR in the same or more constrained Reserve Zone, or delivered for TMOR in a more constrained Reserve Zone.
Forward Reserve TMOR Assigned MWs The MWs designated by the Participant to provide Forward Reserve TMOR capability in the Reserve Zone.
Asset Forward Reserve TMOR Delivered MWs The minimum of the Forward Reserve TMOR Available MWs or Forward Reserve TMOR Assigned MWs.
Forward Reserve TMOR Energy Obligation Credit MWs

The minimum amount of: Asset Forward Reserve TMOR Delivered MWs; or Forward Reserve Energy Obligation Credit Limit MWs, adjusted for any amounts applied in a more constrained Reserve Zone or to a higher value product.

This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Asset TMOR Failure-to-Reserve Penalty Exempt MWs The lesser of the Forward Reserve TMOR Assigned MWs or the Forward Reserve Adjusted Outage Exemption MW, adjusted for any amounts previously applied in a more constrained Reserve Zone / higher value product.
Participant Share Asset Forward Reserve TMOR Delivered MWs Asset Forward Reserve TMOR Delivered MWs allocated to Participants based on their ownership share.
Participant Share of Forward Reserve TMOR Energy Obligation Credit MWs

Forward Reserve TMOR Energy Obligation Credit MWs allocated to Participants based on their ownership share.

This column will be populated for all settlements and resettlements prior to June 1, 2008. This column will contain a NULL value for settlements after May 31, 2008.

Participant Share Asset TMOR Failure-to-Reserve Penalty Exempt MWs Asset TMOR Failure-to-Reserve Penalty Exempt MWs allocated to Participants based on their ownership share.
Forward TMNSR Obligation Charge Limit MWs The minimum amount of Asset Forward Reserve TMNSR Delivered MW or Total Ten-Minute Real-Time Reserve Designation MW.
Forward TMOR Obligation Charge Limit MWs The minimum amount of Asset Forward Reserve TMOR Delivered MWs or Real-Time TMOR Designation plus Ten-Minute Real-Time Reserve Designation MW in excess of Asset Forward Reserve TMNSR Delivered MW in the Reserve Zone in which the asset is located.
Forward TMNSR Obligation Charge MWs The lesser of the Asset Forward TMNSR Delivered MW and the Forward TMNSR Obligation Charge Limit MWs per Reserve Zone, adjusted for any amounts applied in a lesser constrained Reserve Zone
Forward TMOR Obligation Charge MWs The lesser of the Asset Forward TMOR Delivered MW and the Forward TMOR Obligation Charge Limit MWs per Reserve Zone, adjusted for any amounts previously applied in a lesser constrained Reserve Zone or higher value product.
Participant Share Forward TMNSR Obligation Charge MWs The product of the Forward TMNSR Obligation Charge MWs and Participant Asset Ownership share by Reserve Zone.
Participant Share Forward TMOR Obligation Charge MWs The product of the Forward TMOR Obligation Charge MWs and Participant Asset Ownership share by Reserve Zone.
Subaccount ID The alpha numeric identifier for the subaccount associated with the asset.  This field shall contain a NULL value when subaccount reporting is not enabled. 
Subaccount Name The name of the subaccount.  This field shall contain a NULL value when subaccount reporting is not enabled.

Real-Time Reserve Section

Trading Interval Specific hour for which the information is reported. Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).
Reserve Zone ID Numerical identifier for a Reserve Zone
Reserve Zone Name Name of the Reserve Zone
Asset ID Numerical identifier for the asset
Asset Name Name of the asset
Asset Type

Specified Asset type such as;

  • GENERATOR
  • LOAD
Ownership Share A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with an Asset.
Eco Max / Consumption Min Highest unrestricted level of Energy, in MW, of a Customer’s Generating Unit or lowest level of Energy consumed, in MW, by a Customer’s Load Asset.
Performance Eco Max / Performance Consumption Min

Generators: The Eco Max value, in MW, adjusted in Real-Time for a performance related reason.

Dispatchable Asset Related Demand: The Consumption Min value, in MW, adjusted in Real-Time for a performance-related reason.

Revenue Quality Metering A generator’s actual metered output for an hour.
Real-Time TMSR Capacity MW

Generators: The greater of: the difference between Eco Max and Revenue Quality Meter Reading or 0.

Dispatchable Asset Related Demand: The greater of the absolute value of Revenue Quality Meter Reading less Min Consumption, or 0.

Real-Time Operations TMSR Designation The MW value designated by the real-time dispatch to supply TMSR, or zero if the Revenue Quality Metering value is zero.
Real-Time TMSR Designation The lesser of the Real-Time TMSR Capacity MW or the Real-Time Operations TMSR Designation.
Real-Time TMSR Reserve Credit The product of the Real-Time TMSR Designation multiplied by the Real-Time TMSR Clearing Price.
Participant Share TMSR Credit The Real-Time TMSR Credit allocated to Participants based on their ownership share.
Real-Time TMNSR Capacity MW The Real-Time TMSR Capacity MW, minus the Real-Time TMSR Designation.
Real-Time Operations TMNSR Designation The MW value designated by the real-time dispatch to supply TMNSR.
Real-Time TMNSR Designation The lesser of the Real-Time TMNSR Capacity MW or the Real-Time Operations TMNSR Designation.
Real-Time TMNSR Reserve Credit The product of the Real-Time TMNSR Designation multiplied by the Real-Time TMNSR Clearing Price.
Participant Share TMNSR Credit The Real-Time TMNSR Credit allocated to Participants based on their ownership share.
Real-Time TMOR Capacity MW The Real-Time Capacity Available for TMNSR, less any designation for TMNSR.
Real-Time Operations TMOR Designation The MW value designated by the real-time dispatch to supply TMOR.
Real-Time TMOR Designation The lesser of the Real-Time TMOR Capacity MW or the Real-Time Operations TMOR Designation.
Real-Time TMOR Reserve Credit The product of the Real-Time TMOR Designation multiplied by the Real-Time TMOR Clearing Price.
Participant Share TMOR Credit The Real-Time TMOR Credit allocated to Participants based on their ownership share.
Total Ten-Minute Real-Time Reserve Designation The sum of the Real-Time TMSR Designation and the Real-Time TMNSR Designation by Reserve Zone.
Participant Share TMSR Designation The product of the Real-Time TMSR Designation MW and the Ownership Share by Reserve Zone.
Participant Share TMNSR Designation The product of the Real-Time TMNSR Designation MW and the Ownership Share by Reserve Zone.
Participant Share TMOR Designation The product of the Real-Time TMOR Designation MW and the Ownership Share by Reserve Zone.
Subaccount ID The alpha numeric identifier for the subaccount associated with the asset.  This field shall contain a NULL value when subaccount reporting is not enabled. 
Subaccount Name The name of the subaccount.  This field shall contain a NULL value when subaccount reporting is not enabled.

Failure-to-Activate Section

Trading Interval Specific hour for which the information is reported. Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).
Reserve Zone ID Numerical identifier for a Reserve Zone
Reserve Zone Name Name of the Reserve Zone
Asset ID Numerical identifier for the asset.
Asset Name Name of the asset
Asset Type

Specified Asset type such as;

  • GENERATOR
  • LOAD
Ownership Share A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with an Asset.
Asset Total TMNSR Delivered MWs The total Asset TMNSR Delivered MWs in the Reserve Zone.
Forward Reserve TMNSR Contingency Target MW The amount of Forward Reserve TMNSR MWs requested to be activated in Real-Time.
Forward Reserve TMNSR Contingency Activated MW The actual amount of Forward Reserve TMNSR MWs activated in Real-Time.
Forward Reserve TMNSR Failure-to-Activate Flag

Flag indicating if a Generating Unit activated its Forward Reserve Capability when asked to provide energy, or that an Asset Related Demand Unit interrupted energy consumption when asked to provide Forward Reserve Capability.

  • Y
  • N
Forward Reserve TMNSR Failure-to-Activate MW When the Forward Reserve TMNSR Failure-to-Activate Flag is set to "Y", the lesser of: (Asset Total TMNSR Delivered MWs – Forward Reserve TMNSR Contingency Activated MW), or (Forward Reserve TMNSR Contingency Target MW – TMNSR Contingency Activated MW).
Forward Reserve TMNSR Payment Rate

December 1, 2006: The Forward Reserve Market Monthly Clearing Price for TMNSR, less the Forward Capacity Transition Rate, divided by the Delivery Hours in the Month.

June 1, 2010: The maximum value of the Forward Reserve Market Monthly Clearing Price for TMNSR, less the Forward Capacity Auction Clearing Price for the Capacity Zone associated with the Reserve Zone divided by the Delivery Hours in the Month, or zero.

Forward Reserve TMNSR Failure-to-Activate Penalty Rate Rate used to calculate the Forward Reserve TMNSR Failure-to-Activate Penalty, which is the greater of the Real-Time Nodal LMP, or the Forward Reserve TMNSR Payment Rate multiplied by the Failure to Activate Penalty factor, as defined in Market Rule 1.
Forward Reserve TMNSR Failure-to-Activate Penalty The product of the Forward Reserve TMNSR Failure-to-Activate MWs and the sum of the Forward Reserve TMNSR Failure-to-Activate Penalty Rate and the Forward Reserve TMNSR Payment Rate.
Participant Share Forward Reserve TMNSR Failure-to-Activate Penalty Forward Reserve TMNSR Failure-to-Activate Penalty allocated to Participants based upon their ownership share.
Asset Total TMOR Delivered MWs The total amount of Asset TMOR Delivered MWs in the Reserve Zones.
Forward Reserve TMOR Contingency Target MW The target amount of Forward Reserve TMOR MWs requested to be activated in Real-Time.
Forward Reserve TMOR Contingency Activated MW The actual amount of Forward Reserve TMOR MWs activated in Real-Time.
Forward Reserve TMOR Failure-to-Activate Flag

Indication that a Generating Unit did not activate its Forward Reserve Capability when asked to provide energy, or an indication that an Asset Related Demand Unit did not interrupt energy consumption when asked to provide Forward Reserve Capability.

  • Y
  • N
Forward Reserve TMOR Failure-to-Activate MW When the Forward Reserve TMOR Failure-to-Activate Flag is set to “Y”, the lesser of: (Asset Total TMOR Delivered MWs + Asset Total Forward TMNSR Delivered MWs) –(Asset Forward TMNSR Failure-to-Activate MWs + Forward Reserve TMOR Contingency Activated MW), or (Forward Reserve TMOR Contingency Target MW – Asset Forward TMNSR Failure to Activate MWs - TMOR Contingency Activated MW).
Forward Reserve TMOR Payment Rate

December 1, 2006: The Forward Reserve Market Monthly Clearing Price for TMOR, less the Forward Capacity Transition Rate, divided by the Delivery Hours in the Month.

June 1, 2010: The maximum value of the Forward Reserve Market Monthly Clearing Price for TMOR, less the Forward Capacity Auction Clearing Price for the Capacity Zone associated with the Reserve Zone divided by the Delivery Hours in the Month, or zero

Forward Reserve TMOR Failure-to-Activate Penalty Rate Rate used to calculate the Forward Reserve TMOR Failure-to-Activate Penalty, which is the greater of the Real-Time Nodal LMP, or the Forward Reserve TMOR Payment Rate multiplied by the Failure to Activate Penalty factor, as defined in Market Rule 1.
Forward Reserve TMOR Failure-to-Activate Penalty The product of the Forward Reserve TMOR Failure-to-Activate MWs and the sum of the Forward Reserve TMOR Failure-to-Activate Penalty Rate and the Forward Reserve TMOR Payment Rate.
Participant Share Forward Reserve TMOR Failure-to-Activate Penalty Forward Reserve TMOR Failure-to-Activate Penalty allocated to Participants based upon their ownership share.
Subaccount ID The alpha numeric identifier for the subaccount associated with the asset.  This field shall contain a NULL value when subaccount reporting is not enabled. 
Subaccount Name The name of the subaccount.  This field shall contain a NULL value when subaccount reporting is not enabled.

Archived Status

Report Name

Change Summary

Effective Date

sd_rsvastdtl Modified. No change in report structure, only report description change. Forward Reserve Threshold Price will be calculated on a daily basis, instead of monthly. 11.01.2012
sd_rsvastdtl Modified. Column "Performance EcoMax / Performance Consumption Min" will be replace the original column "Performance EcoMax". The modified column follows the "Forward Reserve Adjusted Outage Exemption MWs" column. Any new settlements or resettlements will print the new column header name. 06.01.2010
sd_rsvastdtl Modified.  A new column has been added following the 'Performance Audit Flag' column. 06.01.2010
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