Current Status |
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| Report Name | Change Summary |
Effective Date |
Description |
Template |
Sample |
sd_mthstlicap |
Retired. | 06.01.2010 | XLTX | CSV | |
SD_MTHSTLICAP - Installed Capacity Monthly Settlement Details Report - Rev 1SD_MTHSTLICAP_<customer id>_<settlement date>_<version>.CSV Availability: Monthly market settlement available to ICAP Transition Customers. |
|
REPORT COLUMN |
DESCRIPTION |
Tab 1 (Generation) |
|
Asset ID |
Numerical identifier for the asset. |
Asset Name |
Name of the asset. |
Seasonal Claimed Capability |
Seasonal Claimed Capability (SCC) represents the Summer (SCC-S) and Winter (SCC-W) Claimed Capability of a generating unit in MW quantity. |
Equivalent Forced Outage Rate |
The measure by which Installed Capacity Suppliers will be rated. |
Availability Factor Type |
Method used to calculate the Availability Factor (Standard EFORd, Weighted EFORd, Class Average EFORd, Outage Factor, Class Average Outage Factor). |
Monthly UCAP per Generation Asset |
The SCC value adjusted by the Equivalent Forced Outage Rate. |
Ownership Share |
A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a generating unit. |
Monthly UCAP per Generation Asset per Participant |
Monthly UCAP per Generation Asset allocated to Participants based on their ownership share. |
Tab 2 (Load Response) |
|
Asset ID |
Numerical identifier for the asset. |
Asset Name |
Name of the asset. |
Load Response Adjusted Capacity |
The capacity MW value calculated by the load response settlement. |
Ownership Share |
A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a load response unit. |
Load Response Adjusted Capacity per Participant |
Load Response Adjusted Capacity allocated to Participants based on their ownership share. |
Tab 3 (Load) |
|
Asset ID |
Numerical identifier for an asset. |
Asset Name |
Name of the asset. |
Average UCAP Peak Contribution Value |
Load Asset's monthly average of its daily UCAP peak contribution values. |
Lead Asset Owner ID |
Numerical identifier for the Lead Asset Owner of the asset. |
Monthly UCAP Obligation per Load Asset |
A load asset's pro rata share of the pool total peak contribution. |
Ownership Share |
A right or obligation, for purposes of settlement, to a percentage share of all Credits or Charges associated with a load asset. |
Monthly UCAP Obligation per Load Asset per Participant |
Monthly UCAP obligation per Load Asset allocated to the Participant based on ownership share. |
Tab 4 (Daily UCAP Peak) |
|
Date |
Calendar date of the operating day. |
Asset ID |
Numerical identifier for an asset. |
Asset Name |
Name of the asset. |
Daily UCAP Peak Contribution Value |
UCAP peak contribution value by day. |
Tab 5 (Transaction) |
|
Transaction Number |
An identifier generated by the Market System at time of transaction submittal. |
Reference ID |
A customer-specified string, supplied at the time of transaction submittal, used to facilitate the customer's organization and tracking of his transaction information. |
Transaction Type |
Internal, External or NYPA |
Other Party |
Counter-party to the transaction. |
Amount |
The UCAP MW value of the transaction. |
Tab 6 (Credit) |
|
Credit Type |
HQICC, NYPA, ISO SUPPLY ADJUSTMENT, or ODR |
Amount |
The MW value for the credit. |
Tab 7 (Disp Asset Related Demand) |
|
Asset ID |
Numerical identifier for the asset. |
Asset Name |
Name of the asset. |
Nominated Consumption Limit |
Nomination consumption limit in MW. |
Metering Adjustment |
Monthly average metering adjustment for asset in MW. |
Non-Conforming Demand Bid Adjustment |
Non-conforming demand bid adjustment in MW. |