sr_rtcustsum
Real-Time Energy Market Summary

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

sr_rtcustsum Modified. Added new "Subaccount" section. 05.21.2014 PDF XLTX CSV

View Archived Status at the foot of this page

 

SR_RTCUSTSUM – Real Time Energy Market Summary Report – Rev 6

SR_RTCUSTSUM_<customer id>_<settlement date>_<version>.CSV
<Customer Name>
Date: mm/dd/yyyy and Version: mm/dd/yyyy hh:mm:ss GMT
Availability: Participants and Transmission Customers with Real Time Locational Settlements

REPORT COLUMN

DESCRIPTION

Customer 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).

Real Time Generation Obligation

The customer’s total of all Real Time Generation Obligations for all locations for the specified Trading Interval.

Real Time Load Obligation

The customer’s total of all Real Time Load Obligations for all locations for the specified Trading Interval.

Real Time Adjusted Load Obligation

RT Load Obligation plus the RT IBM purchases plus the RT IBM sales plus the DA IBM purchases plus the DA IBM sales at all locations for the specified Trading Interval.

Real Time Adjusted Net Interchange

The customer’s total of all Real Time Adjusted Net Interchanges for all locations for the specified Trading Interval.

Real Time Energy Charge/Credit

The customer’s total of all Real Time Energy Charges/Credits for all locations for the specified Trading Interval.

Real Time Congestion Charge/Credit

The customer’s total of all Real Time Congestion Charges/Credits for all locations for the specified Trading Interval.

Real Time Loss Charge/Credit

The customer’s total of all Real Time Loss Charges/Credits for all locations for the specified Trading Interval.

Real Time Marginal Loss Revenue Allocation

For settlements starting with the December 2010 obligation month, the Participant's pro-rata share of the Marginal Loss Revenue Load Obligation multiplied by Pool Day Ahead Marginal Loss Revenue plus Pool Real Time Marginal Loss Revenue. For settlements prior to the December 2010 obligation month, the customer's pro-rata share of the Real Time Adjusted Load Obligation multiplied by Pool Day Ahead Marginal Loss Revenue plus Pool Real Time Marginal Loss Revenue.

External Inadvertent Cost Distribution

The customer’s pro-rata share of the sum of the absolute values of the Real Time Pool Total Generation Obligation and the Real Time Pool Total Load Obligation, multiplied by the Real Time Pool External Inadvertent amount.

Real Time Net Energy Settlement

The customer’s sum of Real Time Energy Charge/Credit plus Real Time Congestion Charge/Credit plus Real Time Loss Charge/Credit plus Real Time Marginal Loss Revenue Allocation plus External Inadvertent Cost.

Real Time Pool Generation Obligation

The Pool total of all Real Time Generation Obligations for all locations for the specified Trading Interval.

Real Time Pool Load Obligation

The Pool total of all Real Time Load Obligations for all locations for the specified Trading Interval.

Real Time Pool Adjusted Load Obligation

RT Pool Load Obligation plus the RT IBM purchases plus the RT IBM sales plus the DA IBM purchases plus the DA IBM sales at all locations.

Real Time Pool Energy Settlement

The Pool total of all Real Time Energy Charges/Credits at all locations for the specified Trading Interval.

Real Time Pool Congestion Revenue

The Pool total of all Real Time Congestion Charges/Credits at all locations for the specified Trading Interval.

Real Time Pool Loss Revenue

The Pool total of all Real Time Loss Charges/Credits at all locations for the specified Trading Intervals.

Real Time Pool Emergency Cost

The dollar cost of the Pool external emergency sales or purchases priced at the external node(s).

Real Time Pool External Inadvertent

External Inadvertent Energy Cost is calculated on an hourly basis at each external node and is equal to the sum of the scheduled amounts at each external node for the pool, subtracted from actual amounts delivered at each external node, multiplied by the nodal Real Time Locational Marginal Price.

Real Time Pool Marginal Loss Revenue

The sum of Pool Real Time Energy Settlement plus Pool Real Time Loss Revenue plus Pool External Inadvertent Cost plus Pool Real Time Emergency Purchases or Sales.

Day Ahead Marginal Loss Revenue

The sum of Pool Day Ahead Energy Settlement plus Pool Day Ahead Loss Revenue.

Real Time Pool Load Obligation Absolute Value

The Pool total of the absolute value of the customer's Real Time Load Obligations for the specified trading interval. This column will be populated for all settlements starting with the June 2008 obligation month. For any settlements prior to this month this column will contain a NULL value.

Marginal Loss Revenue Load Obligation

The customer's total of all Marginal Loss Revenue Load Obligation at all locations for the specified Trading Interval.  This column will be populated for all settlements starting with the December 2010 obligation month.  For any settlements prior to this month the column will contain a NULL value.

Pool Marginal Loss Revenue Load Obligation

The Pool total of the customer’s Marginal Loss Revenue Load Obligation at all locations for the specified Trading Interval. This column will be populated for all settlements starting with the December 2010 obligation month. For any settlements prior to this month the column will contain a NULL value.

Subaccount Section

Subaccount ID

The alpha numeric identifier for the subaccount.  This section shall not be populated with data when subaccount reporting is not enabled.

Subaccount Name

The name of the subaccount.

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).

Real Time Generation Obligation

The subaccount’s total of all Real Time Generation Obligations at all locations for the specified Trading Interval.

Real Time Load Obligation

The subaccount’s total of all Real Time Load Obligations at all locations for the specified Trading Interval.

Real Time Adjusted Load Obligation

The subaccount’s sum of RT Load Obligation plus the RT IBM purchases plus the RT IBM sales plus the DA IBM purchases plus the DA IBM sales at all locations for the specified Trading Interval.

Real Time Adjusted Net Interchange

The subaccount’s total of all Real Time Adjusted Net Interchanges at all locations for the specified Trading Interval.

Real Time Energy Charge/Credit

The subaccount’s total of all Real Time Energy Charges/Credits at all locations for the specified Trading Interval.

Real Time Congestion Charge/Credit

The subaccount’s total of all Real Time Congestion Charges/Credits at all locations for the specified Trading Interval.

Real Time Loss Charge/Credit

The subaccount’s total of all Real Time Loss Charges/Credits at all locations for the specified Trading Interval.

Marginal Loss Revenue Load Obligation

The subaccount’s total of all Marginal Loss Revenue Load Obligation at all locations for the specified Trading Interval.

Real Time Marginal Loss Revenue Allocation

The subaccount’s pro-rata share of the Marginal Loss Revenue Load Obligation multiplied by Pool Day Ahead Marginal Loss Revenue plus Pool Real Time Marginal Loss Revenue.

 

The subaccount’s pro-rata share of the sum of the absolute values of the Real Time Pool Total Generation Obligation and the Real Time Pool Total Load Obligation, multiplied by the Real Time Pool External Inadvertent amount.

Real Time Net Energy Settlement

The subaccount’s sum of Real Time Energy Charge/Credit plus Real Time Congestion Charge/Credit plus Real Time Loss Charge/Credit plus Real Time Marginal Loss Revenue Allocation plus External Inadvertent Cost.

 

Archived Status

Report Name

Change Summary

Effective Date

sr_rtcustsum Modified. New columns "Marginal Loss Revenue Load Obligation" and "Pool Marginal Loss Revenue Load Obligation", following existing column "Real Time Pool Load Obligation Absolute Value", will be reported blank for any resettlement of operating day prior to January 1st 2011. 01.01.2011

sr_rtcustsum

Existing. Added a new column to the end of the report "Real Time Pool Load Obligation Absolute Value". Modified the description of the columns "External Inadvertent Cost Distribution" and "Real Time Pool External Inadvertent".

06.01.2008

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