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Notice_Settlements <[log in to unmask]>
ERCOT Client Services <[log in to unmask]>
Tue, 25 Jan 2011 18:05:12 -0600
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NOTICE DATE:  January 25, 2011
NOTICE TYPE:  W-A012111-03 Settlement
SHORT DESCRIPTION:  CORRECTION - Notification of correction to Real-Time Market Resettlement for Operating Day December 15, 2010
INTENDED AUDIENCE:  QSE Settlement Personnel
DAY AFFECTED:  Operating Day December 15, 2010
CORRECTION:  The values under the column "Resettled Amount Posted on January 24, 2011 (see Notice W-A012111-01)" in the second table below were incorrectly reported on the previous Notice (W-A012111-02). The correct values have been included in bold.
Note that the Resettlement Statements posted on January 25, 2011, contain the correct values. This correction only relates to the values reported on the Notice.
LONG DESCRIPTION:  In addition to updating the Real-Time LMPs and Real-Time Settlement Point Prices (RTSPPs) for interval 00:15 of Operating Day December 15, 2010, the ERCOT Board approval for price correction also directed ERCOT to make whole Market Participants who were not dispatched according to their submitted Energy Offer Curves. This was not included on the January 24, 2011, Resettlement Statement.
ERCOT will resettle the Real-Time Market in Accordance with Protocol Section 9.5.2(2)(c). ERCOT will determine the applicable Generation Resource MW quantity above Energy Offer Curve and apply in accordance with Section, Payment for Emergency Power Increase Directed by ERCOT.
Details about the Resettlement Statement are included in the table below:
Affected Operating Day

December 15, 2010, for interval 00:15

Description of reason for Resettlement

Payment for Emergency Power Increase Directed by ERCOT

Publication Date of Previous Settlement Statement

January 24, 2011

Publication Date of Resettlement Statement

January 25, 2011

Invoice Date of Resettlement Statement

February 3, 2011

Details about the affected Charge Types are included in the table below:
Charge Types Affected

Resettled Amount Posted on January 24, 2011 (see Notice W-A012111-01)

Resettled Amount Posted on January 25, 2011

Real-Time Energy Imbalance



Real-Time Energy Imbalance  for a DC Tie Import



Real-Time Energy Charge for DC Tie Export



Real-Time Congestion  for Self-Schedules



Real-Time  PTP Obligations



Real-Time  PTP Options



Real-Time Revenue Neutrality Allocation



Emergency Power Increase directed by ERCOT



Charge for Emergency Power Increases



ERCOT System Administration Charge



ERCOT Nodal Implementation Surcharge



CONTACT:  If you have any questions, please contact your ERCOT Account Manager. You may also call the general ERCOT Client Services phone number at (512) 248-3900 or contact ERCOT Client Services via email at [log in to unmask]<mailto:[log in to unmask]>.
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