sd_rtncpcpmtdtl
Real-Time NCPC Unit Payment Details

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sd_rtncpcpmtdtl
SD_RTNCPCPMTDTL - Real Time NCPC Unit Payment Details Report - Rev 2

Existing. Modified the description of the columns "Base Daily Total NCPC Credit" and "NCPC Eligible"
02.11.2009 PDF XLTX CSV

 

SD_RTNCPCPMTDTL - Real Time NCPC Unit Payment Details Report - Rev 2

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

Availability: Daily between 16:15 and 18:15 or on-demand by Settlement need.

REPORT COLUMN

DESCRIPTION

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).

ISO-NE Schedule ID

An identification assigned by the ISO to a scheduled External Transaction.

Resource Type

The description of an External Transaction (Purchase or Sale).

Asset ID

Numerical identifier for the asset.

Base Start up Cost

The Asset's Startup Cost Offer that is evaluated by the Net Commitment Period Compensation process.

Startup Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Base Startup Cost.

Reason

Description

5

Mitigated Startup Costs

10

Type of start missing. Cold startup cost used.

21

Pro-Rated Startup Adjustment - Trip Prior to completing Min Run Time.

 

Eligible Startup Costs

The Startup Cost Offer used in the Net Commitment Period Compensation calculation. This is the Base Startup Cost minus any adjustments.

Base No Load Costs

The Asset's No-Load Cost Offer that is evaluated by the Net Commitment Period Compensation process.

No Load Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Base No Load Cost.

Reason

Description

3

Failure to Follow DDP - No Load Cost Adjustment

4

Prorate No Load Costs

6

Mitigated No Load Costs

 

Eligible No Load Costs

The No-Load Cost Offer used in the Net Commitment Period Compensation calculation. This is the Base No-Load Cost Offer minus any adjustments.

Base Energy Costs

The Asset's Energy Offer price multiplied by the Asset's A Cleared MWs or other adjusted mw amount.

Base Energy Revenue

The Asset's Cleared MWs multiplied by LMP.

Energy Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Base Energy Cost or Base Energy Revenue.

Reason

Description

1

Failure to Follow DDP - Energy Cost/Revenue Adjustment.

12

Reserve Shortage Opportunity Cost (RSOC) - Energy Revenue Adjustment.

17

Energy cost calculated with prior day bid prices for min run carry over.

20

Energy Offer and Value adjustment for units that have Partial Self Scheduled MWs.

22

Real Time Energy Offer and Value adjustments for units that have Cleared DA MWs.

 

Eligible Energy Cost

The Energy Cost Offer used in the Net Commitment Period Compensation calculation. This is the Base Energy Cost minus any adjustments.

Eligible Energy Revenue

The Energy Revenue used in the Net Commitment Period Compensation calculation. This is the Base Energy Revenue minus any adjustments.

Base Daily Generation Offer

The Daily sum of the Asset's Eligible Startup Cost plus the Asset's Eligible No Load Cost plus the Asset's Eligible Energy Cost.

Daily Generation Offer Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Daily Generation Offer.

Reason

Description

8

Daily Offer Emergency Max Cap Adjustment.

 

Eligible Daily Generation Offer

The Daily Generation Offer used in the Net Commitment Period Compensation calculation. This is the Base Daily Generation Offer minus any adjustments.

Base Daily Generation Value

The Daily sum of the Asset's Eligible Energy Revenue.

Daily Generation Value Adjustment Code

Code identifier providing a reason for the adjustment to the Asset's Daily Generation Offer.

Codes unavailable at this time

Eligible Daily Generation Value

The Daily Generation Value used in the Net Commitment Period Compensation calculation. This is the Base Daily Generation Value minus any adjustments.

Base Daily Total NCPC Credit

The difference of the Daily Real Time Generation Offer less (Daily Day Ahead Generation Value plus Daily Real Time Generation Value plus Daily Day Ahead Generation Credits plus Daily Regulation out of merit uplift ROC Credits plus Daily Reserve Shortage Opportunity Cost).

Daily Total NCPC Credit Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Daily Total Net Commitment Period Compensation Credit.

Reason

Description

7

Daily Credit Mitigation Adjustment

9

Negative Daily Credit set to zero

16

Adjust Real Time Credit for Day Ahead Credit calculated for ineligible hours

 

Eligible Daily Total NCPC Credit

The Daily Net Commitment Period Compensation Credit used in the Net Commitment Period Compensation calculation. This is the Base Daily Net Commitment Period Compensation Credit minus any adjustments.

Base Hourly NCPC Credit

The Net Commitment Period Compensation Credit for each asset, in each operating day, allocated back to each hour in the operating day in which the asset was scheduled and eligible for NCPC credit. This is based on a pro-rata share of pool Load Obligation and total pool Load Obligation.

Hourly NCPC Credit Adjustment Codes

Code identifier providing a reason for the adjustment to the Asset's Hourly Net Commitment Period Compensation Credit.

Codes unavailable at this time

Eligible Hourly NCPC Credit

The Hourly Net Commitment Period Compensation Credit used in the Net Commitment Period Compensation calculation. This is the Base Hourly Net Commitment Period Compensation Credit minus any adjustments or exclusions.

NCPC Eligible

Yes (Y) or No (N). Based on the Eligible Unit Dispatch Hours where Desired Mw > 0 and the unit was cleared. Value will be Yes (Y) for External Transactions.

Implicit Self Scheduled Regulation MWs

Regulation Output Level for a Unit that is Partially Self Scheduled for Regulation for the Hour.

  Copyright ©2014 ISO New England Inc.