ss_ncpccdart
NCPC_Cleared Day-Ahead not Dispatched in Rea-Time

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

ss_ncpccdart Existing. 03.01.2008 PDF XLTX CSV

 

SS_NCPCCDART - NCPC - Cleared Day Ahead not Dispatched in Real Time - Rev 0

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

Availability: Determined by associated market service

REPORT COLUMN

DESCRIPTION

CALCULATION

Trading Date

Specific day for which the settlement(s) is calculated.

Trading Interval

Specific hour for which the settlement is calculated.

Asset ID

Numerical identifier for the asset.

Asset Name

Name of the asset.

Location ID

This column is optional. If the asset is committed for Local Second Contingency Protection Resource (LSCPR), this value will be the numerical identifier of the Reliability Region for which the asset was committed. For all other commitment reasons, this value will not be reported.

Location Name

This column is optional. Name of the location corresponding to the Location_ID.

Calculation Description

Actual values used to calculate this settlement in the format of the calculation. The Cleared Day Ahead not dispatched in Real Time Credit equals:
(RT LMP - DA LMP) X Day Ahead Cleared MW

Total Asset Dollars

Total dollars associated with the asset.
The Cleared Day Ahead not dispatched in Real Time Credit equals:
(RT LMP - DA LMP) X Day Ahead Cleared MW

Allocation Share

Customer's ownership share of the asset.

Customer Dollars

Total Asset Dollars x Allocation Share.

Comments

Comments associated with each record, as determined by the specific standard settlement item. At a minimum, this column will contain an indicator of the commitment reason for each asset. (i.e. Economic, LSCPR)

ALLOCATION

Trading Date

Specific day for which the settlement is calculated.

Location ID

This column is optional. If the asset is committed for Local Second Contingency Protection Resource (LSCPR), this value will be the numerical identifier of the Reliability Region for which the asset(s) was committed. For all other commitment reasons, this value will not be reported.

Location Name

This column is optional. Name of the location corresponding to the Location ID.

Allocation Description

If Economic Commitment, allocation is:
(Customer Daily NCPC Deviations / Pool Daily NCPC Deviations) X Pool Daily Cleared DA not dispatched in RT Credits
else
If Commitment is for a Local Second Contingency Protection Resource (LSCPR), allocation is:
(Customer Daily RTLO per Reliability Region / Total Reliability Region Daily RTLO) X Reliability Region Daily Cleared DA not dispatched in RT Credits
Note: Customer Daily RTLO includes neighboring control areas that purchased emergency energy from the affected reliability region during the day for which this settlement is being allocated.

Total Allocation Factor

Pool Daily NCPC Deviations
or
Reliability Region Daily RTLO

Customer Allocation Factor

Customer Daily NCPC Deviations
or
Customer Daily RTLO in Reliability Region

Total Dollars

Total dollars to be allocated for Daily Cleared DA not dispatched in RT Credits for the period.

Customer Dollars

Total Dollars x Customer Allocation Factor / Total Allocation Factor

Comments

Comments associated with each record, as determined by the specific standard settlement item. At a minimum, this column will contain an indicator of the commitment reasons associated with each allocation (i.e. Economic, LSCPR).

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