Current Status |
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| Report Name |
Change Summary |
Effective Date |
Description |
Template |
Sample |
| ww_virbidproxy | Existing. | 05.01.2007 | XLTX | CSV | |
| Access Day-Ahead Virtual Bid Financial Assurance Proxy Data | |||||
Day-Ahead Virtual Bid Financial Assurance Proxy ReportWW_VIRBIDPROXY_ISO<settlement date>_<version>.CSV Date: <mm/dd/yyyy> and Version: <mm/dd/yyyy hh: mm: ss>GMT Availability: Monthly report provides necessary details to calculate Settlement Risk Financial Assurance associated with FTR bids and awards. Report provided to all customers on the 1st of the month prior to the applicable FTR auction. |
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|
REPORT COLUMN |
DESCRIPTION |
|
MARKET DAY |
Specific market day which the information applies to mm/dd/yyyy |
|
LOCATION ID |
Location Identification Number |
|
LOCATION NAME |
Location Name |
|
ON-PEAK INCREMENT PROXY |
Proxy value to be used by Virtual bidders when evaluating the Financial Assurance requirement associated with unsettled On Peak Increment Offers placed in the Day Ahead market for the applicable market day. |
|
ON-PEAK DECREMENT PROXY |
Proxy value to be used by Virtual bidders when evaluating the Financial Assurance requirement associated with unsettled On-Peak Decrement Bids placed in the Day Ahead market for the applicable market day. |
|
OFF-PEAK INCREMENT PROXY |
Proxy value to be used by Virtual bidders when evaluating the Financial Assurance requirement associated with unsettled Off Peak Increment Offers placed in the Day Ahead market for the applicable market day. |
|
OFF-PEAK DECREMENT PROXY |
Proxy value to be used by Virtual bidders when evaluating the Financial Assurance requirement associated with unsettled Off-Peak Decrement Bids placed in the Day Ahead market for the applicable market day. |
|
ZONAL LMP DATE |
If this field is populated, it indicates the date which the proxy values begin to be calculated through the use of Zonal LMPs rather than that nodes historical values. |

