Current Status |
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| Report Name | Change Summary |
Effective Date |
Description |
Template |
Sample |
sd_fcmnscdtl |
New. | 06/01/2010 | XLTX | CSV | |
SD_FCMNSCDTL - Forward Capacity Market Net Supply Credit Details Report - Rev 0SD_FCMNSCDTL _<market service>_<customer id>_<settlement date>_<version>.CSVDate: mm/dd/yyyy and Version: mm/dd/yyyy hh:mm:ss GMT Availability: This report will be produced on a monthly basis for the prior month and will be issued prior to initial billing and resettlement billing. This report will be issued to Lead Market Participants for Capacity Resources and provides details of Forward Capacity Market supply credits. |
|
REPORT COLUMN |
DESCRIPTION |
Resource |
|
Resource ID |
Numerical identifier for the Resource. |
Resource Name |
Name of the Resource. |
Resource Type |
The FCM Resource Type. Appropriate values are: Generator, Demand and Import. |
Resource Subtype |
The FCM Resource Subtype, if applicable. Appropriate values are:
|
Capacity Zone ID |
The numerical identifier of the Capacity Zone. |
Capacity Zone Name |
The name of the Capacity Zone. |
Gross Supply Credit |
The total of the FCA Payment plus Net Capacity Supply Obligation Bilateral Credit or Charge plus Resource Reconfiguration Auction Credit or Charge, less PER Adjustment. |
Net Performance Incentive |
The resource's Performance Incentives earned in the month in the Capacity Zone after capping for the total performance penalties collected, if necessary. |
Performance Penalty |
The resource's Performance Penalties assessed in the month in the Capacity Zone. |
Availability Credit |
The credit to Generating or Import Resources based on their availability during shortage events in the month. |
Availability Penalty |
The penalty charge to Generating or Import Resources who were not fully available during one or more shortage events in the month. |
Net Supply Credit |
The sum of the Gross Supply Credit, Net Performance Incentive, Performance Penalty, Availability Credit, Availability Credit, and Net Supply Credit. |
Asset Detail |
|
Resource ID |
Numerical identifier for the Resource. |
Resource Name |
Name of the Resource. |
Asset ID |
Numerical identifier for the Asset. |
Asset Name |
Name of the Asset. |
Asset Type |
Valid Asset Types are:
|
Customer ID |
Numerical identifier for the customer. |
Customer Name |
Name of the customer. |
Ownership Share |
The customer's ownership share of the asset on the first day of the obligation month. |