|
Name |
|
|
Comment |
SETRESERVETRADER shows reserve trader details. |
|
SETRESERVETRADER data is confidential to the relevant participant. Source SETRESERVETRADER updates when reserve trading occurs in a billing run, such as during an Administered Price Cap event. SETRESERVETRADER is empty until such an event occurs. |
|
Name |
Comment |
Value |
|
Visibility |
Data in this table is: |
Private |
|
Name |
|
DUID |
|
PERIODID |
|
SETTLEMENTDATE |
|
VERSIONNO |
|
Name |
|
LASTCHANGED |
|
Name |
Data Type |
Mandatory |
Comment |
|
SETTLEMENTDATE |
DATE |
X |
Settlement Date |
|
VERSIONNO |
NUMBER(3,0) |
X |
Settlement Run No. |
|
PERIODID |
NUMBER(3,0) |
X |
Period Identifier |
|
CONTRACTID |
VARCHAR2(10) |
|
Reserve Trader Contract Identifier |
|
CONTRACTVERSION |
NUMBER(3,0) |
|
Reserve Trader Contract Version |
|
PARTICIPANTID |
VARCHAR2(10) |
|
Unique participant identifier |
|
REGIONID |
VARCHAR2(10) |
|
Region Identifier |
|
DUID |
VARCHAR2(10) |
X |
Dispatchable Unit ID |
|
RCF |
CHAR(1) |
|
Reserve Recovery Flag |
|
UNITAVAIL |
NUMBER(6,2) |
|
Offered Availability of Unit |
|
CPA |
NUMBER(12,5) |
|
Contract Availability Payment |
|
CPE |
NUMBER(12,5) |
|
Contract Enabling Payment |
|
CPU |
NUMBER(12,5) |
|
Contract Usage Payment |
|
CPTOTAL |
NUMBER(12,5) |
|
Total Payment for Contract |
|
CAPDIFFERENCE |
NUMBER(12,5) |
|
Spot payment applicable to the capacity above the enabling threshold |
|
LASTCHANGED |
DATE |
|
Last date and time record changed |
|
|
|