sr_lrlocsum
Load Response Settlement Location Summary

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

sr_lrlocsum Retired. This report will be issued for any resettlements for any obligation month prior to 06.01.2012. 06.01.2012 PDF XLTX CSV

 

SR_LRLOCSUM – Load Response Settlement Location Summary Report – RETIRED

SR_LRLOCSUM_<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 all Lead Participants with enrolled Ready to Respond Price Response assets. This report is issued as part of the monthly Load Response Financial settlement. The financial settlement, for assets in the Day-Ahead Load Response Program and the Real Time Price Response Program, which will be included with other Monthly Services in the bill for the month following the settlement month.

REPORT COLUMN

DESCRIPTION

Location Summary

Trading Date

Calendar date on which the trading interval occurred.

Trading Interval

Specific hour of the day, defined by the end of the hour, for which the information is reported. For example, the trading interval between midnight and 1:00 am is reported as ‘1’. Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).

Location ID

Location Identification Number.

Location Name

Name of location.

Program Name

Name of the Program in which the Real Time Price Response asset is registered or the FCM Demand Resource Type the FCM Real time Demand Response asset is
registered as.

Day Ahead Cleared MW

The pool monthly total of cleared Day Ahead Interruption offers for the specified trading date and interval.

Day Ahead Payments

The pool monthly total of calculated Day Ahead payments for all cleared Day Ahead Interruption offers for the specified trading date and interval.

Real Time Amount Interrupted

The pool monthly total of Real Time generation and/or calculated load Interruption, for each Day Ahead Interruption Schedule or Price(?) Response Event for the specified trading date and interval.

LR Deviation

The pool monthly total of calculated differences, in MW, of the Real Time Amount Interrupted minus the Day Ahead Cleared MW for the specified trading date
and interval.  

LR Deviation Settlement

The pool monthly total of calculated Load Response Deviation payments or charges for the specified trading date and interval.
Customer Summary

Trading Date

Calendar date on which the trading interval occurred.

Trading Interval

Specific hour of the day, defined by the end of the hour, for which the information is reported. For example, the trading interval between midnight and 1:00 am is reported as ‘1’. Numeric from 1 – 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).

Location ID

Location Identification Number.

Location Name

Name of location.

Program Name

Name of the Program in which the Real Time Price Response asset is registered or the FCM Demand Resource Type the FCM Real Time Demand Response asset is registered as.

Customer Day Ahead Cleared MW

The customer’s monthly total of cleared Day Ahead Interruption offers for the specified trading date and interval. Note: If a customer has both Real Time Price Response assets and FCM Real Time Demand Response assets, the amount in this column is the total of both asset types.

Customer Day Ahead Payments

The customer’s monthly total of calculated Day Ahead payments for all cleared Day Ahead Interruption offers, that cleared, for the specified trading date and interval. Note: If a customer has both Real Time Price Response assets and FCM Real Time Demand Response assets, the amount in this column is the total of both asset types.

Customer Real Time Amount Interrupted

The customer’s monthly total of the Real Time generation and/or calculated load Interruption, for all Day Ahead Interruption Schedules or Load (Price?) Response Events for the specified trading date and interval. Note: If a customer has both Real Time Price Response assets and FCM Real Time Demand Response assets, the amount in this column is the total of both asset types.

Customer LR Deviation

The customer’s monthly total of calculated differences, in MW, of the Customer Real Time Amount Interrupted minus the Customer Day Ahead Cleared MW for the specified trading date and interval. Note: If a customer has both Real Time Price Response assets and FCM Real Time Demand Response assets, the amount in this column is the total of both asset types.

Customer LR Deviation Settlement

The customer’s monthly total of Customer Load Response Deviation payments or charges for the specified trading date and interval. Note: If a customer has both Real Time Price Response assets and FCM Real Time Demand Response assets, the amount in this column is the total of both asset types.
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