EMMS Data Model Table Triggers

 Table

Trigger

ADG_DETAIL

TBC

AGGREGATE_DISPATCH_GROUP

TBC

AGGREGATE_READS

After each billing run

ANCILLARY_RECOVERY_SPLIT

Updated infrequently. Occurs when details change

APCCOMP 

When a Administered Price Cap event occurs

APCCOMPAMOUNT 

Updated with settlement posting

APCCOMPAMOUNTTRK 

Updated with settlement posting

APEVENT 

Administered pricing event

APEVENTREGION 

Administered pricing event

AUCTION 

Updated quarterly

AUCTION_CALENDAR 

Updated quarterly

AUCTION_IC_ALLOCATIONS 

Usually quarterly after each settlement residue auction

AUCTION_REVENUE_ESTIMATE 

Updated quarterly

AUCTION_REVENUE_TRACK 

Updated quarterly

AUCTION_RP_ESTIMATE 

Updated quarterly

AUCTION_TRANCHE 

Updated quarterly

AVERAGEPRICE30 

Every 30 minutes on price update

BIDDAYOFFER 

Data is published whenever new bid data arrives

BIDDAYOFFER_D 

Data is published daily

BIDDUIDDETAILS 

When dispatchable unit registration details are modified

BIDDUIDDETAILSTRK 

When dispatchable unit registration details are modified

BIDOFFERFILETRK 

As bids are processed

BIDOFFERPERIOD 

Data is published whenever new bid data arrives

BIDPEROFFER 

When energy and ancillary service bids are processed

BIDPEROFFER_D 

Data is published daily

BIDTYPES 

When the ancillary service type static data is modified

BIDTYPESTRK 

When the ancillary service type static data is modified

BILLADJUSTMENTS 

Ad hoc

BILLINGAPCCOMPENSATION 

Updated when a billing run is posted

BILLINGAPCRECOVERY 

Updated when a billing run is posted

BILLINGASPAYMENTS 

Updated when a billing run is posted

BILLINGASRECOVERY 

Populated by the posting of a billing run, being several times each week

BILLINGCALENDAR 

When inserting billing weeks for a future AEMO Contract Year

BILLINGCPDATA 

After posting of a billing run (several times each week)

BILLINGCPSUM 

Weekly with the billing run

BILLINGDAYTRK 

After posting of a billing run (several times each week)

BILLINGFEES 

After posting of a billing run (several times each week)

BILLINGFINANCIALADJUSTMENTS 

After posting of a billing run (several times each week)

BILLINGGENDATA 

After posting of a billing run (several times each week)

BILLINGINTERVENTION 

When reserve trading occurs in a billing run

BILLINGINTERVENTIONREGION 

When there are recovery charges for region intervention

BILLINGINTRARESIDUES 

Posting of a billing run

BILLINGIRAUCSURPLUSSUM 

After posting of a billing run where there are unpurchased auction units

BILLINGIRFM 

Updated in the billing run as required

BILLINGIRNSPSURPLUS 

After posting of a billing run where derogated payments apply

BILLINGIRNSPSURPLUSSUM 

After posting of a billing run where the participant has purchased auction units relating to that billing run

BILLINGIRPARTSURPLUS 

Posting of a billing run

BILLINGIRPARTSURPLUSSUM 

Posting of a billing run

BILLINGPRIORADJUSTMENTS 

After posting of a final billing run

BILLINGREALLOC 

Posting of a billing run

BILLINGREALLOC_DETAIL 

Posting of a billing run

BILLINGREGIONEXPORTS 

Posting of a billing run

BILLINGREGIONFIGURES 

Posting of a billing run

BILLINGREGIONIMPORTS 

Posting of a billing run

BILLINGRESERVERECOVERY 

When reserve trading occurs in a billing run

BILLINGRESERVEREGIONRECOVERY 

After posting a billing run (preliminary, final, or revised)

BILLINGRESERVETRADER 

When reserve trading occurs in a billing run

BILLINGRESERVETRADERREGION 

When reserve trading occurs in a billing run

BILLRESERVETRADERPAYMENT

After posting a billing run (preliminary, final, or revised)

BILLINGRUNTRK 

Posting of a billing run

BILLINGSMELTERREDUCTION 

After posting a billing run

BILLING_APC_COMPENSATION 

Generated when a billing run is posted

BILLING_APC_RECOVERY 

Populated by the posting of a billing run, being several times each week

BILLING_CO2E_PUBLICATION 

Generated when a billing run is posted

BILLING_CO2E_PUBLICATION_TRK 

Generated when a billing run is posted

BILLING_CSP_DEROGATION_AMOUNT 

Generated when a billing run is posted

BILLING_DAILY_ENERGY_SUMMARY 

Populated by the posting of a billing run, being several times each week

BILLING_DIRECTION_RECONCILIATN 

Generated when a billing run is posted

BILLING_DIRECTION_RECON_OTHER 

Populated by the posting of a billing run, being several times each week

BILLING_EFTSHORTFALL_AMOUNT 

Authorisation of a billing shortfall run

BILLING_EFTSHORTFALL_DETAIL 

Authorisation of a billing shortfall run

BILLING_ENERGY_GENSET_DETAIL

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

BILLING_GST_DETAIL 

Generated when a billing run is posted

BILLING_GST_SUMMARY 

Generated when a billing run is posted

BILLING_MR_PAYMENT 

Ad hoc, when there is a MR event

BILLING_MR_RECOVERY 

Ad hoc, when there is a MR event

BILLING_MR_SHORTFALL 

Ad hoc, when there is a MR event

BILLING_MR_SUMMARY 

Ad hoc, when there is a MR event

BILLING_NMAS_TST_PAYMENTS 

Posting of a billing run

BILLING_NMAS_TST_RECOVERY 

Populated by the posting of a billing run, being several times each week

BILLING_NMAS_TST_RECVRY_RBF 

Posting of a billing run

BILLING_NMAS_TST_RECVRY_TRK 

Posting of a billing run

BILLING_RES_TRADER_PAYMENT 

When there is a reserve trader contract payment

BILLING_RES_TRADER_RECOVERY 

When there is a reserve trader contract recovery

BILLING_SECDEPOSIT_APPLICATION 

After posting a billing run (final and revision)

BILLING_SECDEP_INTEREST_PAY 

After posting a billing run (final and revision)

BILLING_SECDEP_INTEREST_RATE 

After posting a billing run (final and revision)

BILLING_SUBST_DEMAND 

Posting of a billing run

BILLING_SUBST_RUN_VERSION 

Posting of a billing run

BILLING_WDR 

Posting of a billing run

BILLING_WDR_DETAIL 

Posting of a billing run

BILLINTERVENTIONRECOVERY 

When reserve trading occurs in a billing run

BILLINTERVENTIONREGIONRECOVERY 

When reserve trading occurs in a billing run

BILLRESERVETRADERPAYMENT 

After posting a billing run (final and revision)

BILLRESERVETRADERRECOVERY 

Populated by the posting of a billing run, being several times each week

BILLSMELTERRATE 

Infrequently, when inserting new annual rates

CASETRK

After each billing run

CONNECTIONPOINT 

When there are new connection points

CONNECTIONPOINTDETAILS 

Periodically with changes to connection point details

CONNECTIONPOINTOPERATINGSTA 

Periodically with changes to connection point status

CONSTRAINTRELAXATION_OCD 

Ad hoc

CONTRACTAGC 

When there is a contract variation

CONTRACTLOADSHED 

When there is a contract variation

CONTRACTREACTIVEPOWER 

When there is a contract variation

CONTRACTRESERVEFLAG 

When entering a reserve contract

CONTRACTRESERVETHRESHOLD 

When reserve contracts are created or updated

CONTRACTRESERVETRADER 

When reserve trader activities occur

CONTRACTRESTARTSERVICES 

When there is a restart contract

CONTRACTRESTARTUNITS 

When there is a restart contract

DATASTREAM_STATS

After posting of a billing run

DAYOFFER 

Daily

DAYTRACK 

After posting of a billing run

DELTAMW 

When there is an action by operational control staff

DEMANDOPERATIONALACTUAL 

Ad hoc 

DEMANDOPERATIONALFORECAST 

Ad hoc 

DISPATCHABLEUNIT 

When new units are added or names are changed

DISPATCHBIDTRK 

Each dispatch run

DISPATCHBLOCKEDCONSTRAINT 

Each dispatch run (5 minutes)

DISPATCHCASESOLUTION 

Every 5 minutes

DISPATCHCASESOLUTION_BNC 

Adhoc, potentially every 5 minutes

DISPATCHCASE_OCD 

Adhoc, potentially every 5 minutes

DISPATCHCONSTRAINT 

Every 5 minutes

DISPATCHINTERCONNECTORRES 

Every 5 minutes

DISPATCHLOAD 

Every 5 minutes for all units, even zero targets

DISPATCHOFFERTRK 

Every 5 minutes

DISPATCHPRICE 

Every 5 minutes

DISPATCHREGIONSUM 

Every 5 minutes

DISPATCH_CONSTRAINT_FCAS_OCD 

TBC

DISPATCH_FCAS_REQ 

Each dispatch run (5 minutes)

DISPATCH_FCAS_REQ_CONSTRAINT

Public at the completion of a constraint FCAS processor run for a dispatch run

DISPATCH_FCAS_REQ_RUN

Public at the completion of a constraint FCAS processor run for a dispatch run

DISPATCH_INTERCONNECTION 

Every 5 minutes

DISPATCH_LOCAL_PRICE 

Every 5 minutes

DISPATCH_MNSPBIDTRK 

Every 5 minutes

DISPATCH_MR_SCHEDULE_TRK 

Ad hoc

DISPATCH_PRICE_REVISION 

Every 5 minutes

DISPATCH_UNIT_CONFORMANCE 

Every 5 minutes

DISPATCH_UNIT_SCADA 

Every 5 minutes

DUALLOC 

When the dispatch unit identifier to genset ID cross reference is changed

DUDETAIL 

When registration details change

DUDETAILSUMMARY 

When registration details change

EMSMASTER 

TBC

FORCEMAJEURE 

When force majeure event is recorded

FORCEMAJEUREREGION 

When force majeure event is recorded

FCAS_REGU_USAGE_FACTORS

Updates whenever FCAS_REGU_USAGE_FACTORS data is updated

FCAS_REGU_USAGE_FACTORS_TRK

Updates whenever FCAS_REGU_USAGE_FACTORS data is updated

FPP_CONSTRAINT_FREQ_MEASURE

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_CONTRIBUTION_FACTOR

The private report will be delivered at the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes) 

The public report will be delivered the next market day (at 4am)

FPP_EST_COST

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_EST_PERF_COST_RATE

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_EST_RESIDUAL_COST_RATE

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_FCAS_SUMMARY

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_FORECAST_DEFAULT_CF

Approval of a FPP historical default contribution factor calculation run (i.e. every week)

FPP_FORECAST_RESIDUAL_DCF

Approval of a FPP historical default contribution factor calculation run (i.e. every week)

FPP_HIST_PERFORMANCE

Approval of a FPP historical performance calculation run (i.e. every week)

FPP_P5_FWD_EST_COST

At the completion of a P5MIN estimation calculation run (i.e. every 5 mins)

FPP_P5_FWD_EST_RESIDUALRATE

At the completion of a P5MIN estimation calculation run (i.e. every 5 mins)

FPP_PD_FWD_EST_COST

At the completion of a PREDISPATCH estimation calculation run (i.e. every 30 minutes)

FPP_PD_FWD_EST_RESIDUALRATE

At the completion of a PREDISPATCH estimation calculation run (i.e. every 30 minutes)

FPP_PERFORMANCE

The private report delivers at the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

The public report delivers the next market day (at 4am)

FPP_RCR

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_REGION_FREQ_MEASURE

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_RESIDUAL_CF

The public report will be delivered at the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_RESIDUAL_PERFORMANCE

The public report delivers at the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes) 

FPP_RUN

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

FPP_UNIT_MW

The private report delivers at the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

The public report delivers the next market day (at 4am)

FPP_USAGE

At the completion of a FPP calculation run for a closed trading interval (i.e. every 5 minutes)

GDINSTRUCT 

On instruction issued by AEMO

GENCONDATA 

Dispatch run

GENCONSET 

When updated by AEMO

GENCONSETINVOKE 

When a generic constraint is invoked or the revoke time is altered

GENCONSETTRK 

Ad hoc

GENERICCONSTRAINTRHS 

When a new generic constraint RHS or expression is created or modified

GENERICEQUATIONDESC 

When new a generic equation is created

GENERICEQUATIONRHS 

When a generic equation is created or modified

GENMETER 

When meter details change

GENUNITMTRINPERIOD 

When new meter reading files are submitted by MDAs

GENUNITS 

When plant details change

GENUNITS_UNIT 

When plant details change

GST_BAS_CLASS 

TBC

GST_RATE 

TBC

GST_TRANSACTION_CLASS 

When new transactions are introduced to the NEM

GST_TRANSACTION_TYPE 

When new transactions are introduced to the NEM

INSTRUCTIONSUBTYPE 

Ad hoc

INSTRUCTIONTYPE 

Ad hoc

INTCONTRACTAMOUNT 

When there is contract creation or changes

INTCONTRACTAMOUNTTRK 

When there is contract creation or changes

INTERCONNECTOR 

Usually annually

INTERCONNECTORALLOC 

Usually annually

INTERCONNECTORCONSTRAINT 

Usually annually

INTERCONNMWFLOW 

Weekly

INTERMITTENT_CLUSTER_AVAIL 

On participant data submission

INTERMITTENT_CLUSTER_AVAIL_DAY 

On participant data submission

INTERMITTENT_DS_FCST_CASE

Publication of Dispatch solution. Data includes all valid forecasts for that interval

INTERMITTENT_DS_PRED 

Publication of Dispatch solution. Data includes all valid forecasts for that interval

INTERMITTENT_DS_RUN 

Publication of Dispatch solution. Data includes all valid forecasts for that interval

INTERMITTENT_FORECAST_TRK 

Dispatch run

INTERMITTENT_GEN_FCST 

Every 30 minutes when AEMO issues a new 30-minute forecast of intermittent generation out to 8 days ahead

INTERMITTENT_GEN_FCST_DATA 

Every 30 minutes when AEMO issues a new 30-minute forecast of wind generation out to 8 days ahead

INTERMITTENT_GEN_LIMIT 

On participant data submission

INTERMITTENT_GEN_LIMIT_DAY 

On participant data submission

INTERMITTENT_GEN_SCADA

Shows data for every 5 minutes for all Intermittent Generating Units

INTERMITTENT_P5_FCST_CASE

Publication of 5-Minute Pre-dispatch solution. Data includes all valid forecasts for that interval

INTERMITTENT_P5_PRED 

Publication of 5-Minute Pre-dispatch solution. Data includes all valid forecasts for that interval

INTERMITTENT_P5_RUN 

Publication of 5-Minute Predispatch solution. Data includes all valid forecasts for that 5-Minute Predispatch ru

INTRAREGIONALLOC 

Infrequently

IRFMEVENTS 

When there is a Industrial Relations Forced Majeure event

LOCALAREA_REGO

After each billing run

LOSSFACTORMODEL 

Annually, when there is a change in the interconnector

LOSSMODEL 

Annually, when there is a change in the interconnector

MARKETFEE 

When fees change

MARKETFEEDATA 

When fees change

MARKETFEETRK 

When new annual rates are added.

MARKETNOTICEDATA 

When a Market Notice is issued.

MARKETNOTICETYPE 

When market notice types change

MARKETSUSPENSION 

When the market is suspended

MARKETSUSREGION 

When the market is suspended

MARKET_FEE_CAT_EXCL 

When there is a market fee exclusion

MARKET_FEE_CAT_EXCL_TRK 

When there is a market fee exclusion

MARKET_FEE_EXCLUSION 

When there is a participant configuration change

MARKET_FEE_EXCLUSIONTRK 

When there is a participant configuration change

MARKET_PRICE_THRESHOLDS 

When there is a market price threshold change

MARKET_SUSPEND_REGIME_SUM 

Market suspension

MARKET_SUSPEND_REGION_SUM 

Creation of market suspension

MARKET_SUSPEND_SCHEDULE 

Weekly and ad hoc

MARKET_SUSPEND_SCHEDULE_TRK 

Market suspension

MAS_CP_CHANGE 

Daily

MAS_CP_MASTER 

Daily

MCC_CASESOLUTION 

Each dispatch run

MCC_CONSTRAINTSOLUTION 

Each MCC dispatch rerun

METERDATA 

When meter files are processed from MSATS

METERDATATRK 

Updates whenever meter files are processed

METERDATA_AGGREGATE_READS 

TBC

METERDATA_GEN_DUID 

When there is generation of non-scheduled units

METERDATA_INDIVIDUAL_READS 

TBC

METERDATA_INTERCONNECTOR 

TBC

METERDATA_SAPS

TBC

METERDATA_TRK 

Posting of a billing run

METERDATA_WDR_READS 

Posting of a billing run

MMS_DATA_MODEL_AUDIT 

When scripts are used to install or update the MMS Data Model

MNSP_BIDOFFERPERIOD 

Generated as submissions are processed in next-day reports

MNSP_DAYOFFER 

Generated as submissions are processed in next-day reports

MNSP_FILETRK 

A submitted MNSP bid

MNSP_INTERCONNECTOR 

Infrequently, typically annually

MNSP_OFFERTRK 

As bids are processed

MNSP_PARTICIPANT 

Infrequently, typically annually

MNSP_PEROFFER 

As bids are processed

MR_DAYOFFER_STACK 

Ad hoc

MR_EVENT 

Ad hoc

MR_EVENT_SCHEDULE 

Ad hoc

MR_PEROFFER_STACK 

Ad hoc

MTPASACONSTRAINTSOLUTION_D 

On MTPASA solution published to the market (usually once per week)

MTPASAINTERCONNECTORSOLUTION_D 

On MTPASA solution published to the market (usually once per week)

MTPASAREGIONSOLUTION_D 

On MTPASA solution published to the market (usually once per week)

MTPASA_CASERESULT 

On MTPASA solution published to the market (usually weekly)

MTPASA_CASESOLUTION 

On MTPASA solution published to the market (usually once per week)

MTPASA_CASE_SET 

Every MTPASA run (weekly)

MTPASA_CONSTRAINTRESULT 

On MTPASA solution published to the market (usually weekly)

MTPASA_CONSTRAINTSUMMARY 

On MTPASA solution published to the market (usually weekly)

MTPASA_DUIDAVAILABILITY 

On MTPASA solution published to the market (usually weekly)

MTPASA_INTERCONNECTORRESULT 

On MTPASA solution published to the market (usually weekly)

MTPASA_INTERCONNECTORSOLUTION 

On MTPASA solution published to the market (usually once per week)

MTPASA_INTERMITTENT_AVAIL 

On participant data submission

MTPASA_INTERMITTENT_LIMIT 

On participant data submission

MTPASA_LOLPRESULT 

On MTPASA solution published to the market (usually weekly)

MTPASA_OFFERDATA 

When a participant MTPASA bid is processed

MTPASA_OFFERFILETRK 

When a participant MTPASA bid is processed

MTPASA_REGIONAVAILABILITY 

After each MT PASA run (every 3 hours during market business hours)

MTPASA_REGIONAVAIL_TRK 

After each MT PASA run (every 3 hours during market business hours)

MTPASA_REGIONITERATION 

On MTPASA solution published to the market (usually once per week)

MTPASA_REGIONRESULT 

On MTPASA solution published to the market (usually once per week)

MTPASA_REGIONSOLUTION 

On MTPASA solution published to the market (usually once per week)

MTPASA_REGIONSUMMARY 

On MTPASA solution published to the market (usually once per week)

MTPASA_RESERVELIMIT 

Ad hoc, when a new Reserve Requirement is published

MTPASA_RESERVELIMITSOLUTION 

On MTPASA solution published to the market (usually once per week)

MTPASA_RESERVELIMIT_REGION 

Ad hoc, when a new Reserve Requirement is published

MTPASA_RESERVELIMIT_SET 

Ad hoc, when a new Reserve Requirement is published

NEGATIVE_RESIDUE 

TBC

NETWORK_EQUIPMENTDETAIL 

When equipment details are added or changed

NETWORK_OUTAGECONSTRAINTSET 

TBC

NETWORK_OUTAGEDETAIL 

TBC

NETWORK_OUTAGESTATUSCODE 

TBC

NETWORK_RATING 

TBC

NETWORK_REALTIMERATING 

TBC

NETWORK_STATICRATING 

TBC

NETWORK_SUBSTATIONDETAIL 

When subtation details are created or added

NMI_STATS

After each billing run

OFFERAGCDATA 

On participant Automatic Generation Control (AGC) reoffers submission

OFFERASTRK 

When ancillary service reoffers are successfully acknowledged

OFFERFILETRK 

As bids are processed

OFFERGOVDATA 

Updated as reoffers are processed

OFFERLSHEDDATA 

On participant reoffers submission

OFFERRESTARTDATA 

On system restart availability reoffers

OFFERRPOWERDATA 

On reactive power capability and settlement measurements reoffers submission

OFFERULOADINGDATA 

Updated as reoffers are processed

OFFERUNLOADINGDATA 

Updated as reoffers are processed

OVERRIDERRP 

Every five minutes when override prices apply for the period.

P5MIN_BLOCKEDCONSTRAINT 

Every 5 minutes

P5MIN_CASESOLUTION 

Every 5 minutes

P5MIN_CONSTRAINTSOLUTION 

Every 5 minutes

P5MIN_FCAS_REQ_CONSTRAINT

Public at the completion of a constraint FCAS processor run for a 5 minute predispatch run

P5MIN_FCAS_REQ_RUN

Public at the completion of a constraint FCAS processor run for a 5 minute predispatch run

P5MIN_FCAS_REQUIREMENT

Every 5 minutes

P5MIN_INTERCONNECTORSOLN 

Every 5 minutes

P5MIN_INTERSENSITIVITIES 

Every 5 minutes

P5MIN_LOCAL_PRICE 

Every 5 minutes

P5MIN_PRICESENSITIVITIES 

Every 5 minutes

P5MIN_REGIONSOLUTION 

Every 5 minutes

P5MIN_SCENARIODEMAND 

On update of P5MIN scenarios

P5MIN_SCENARIODEMANDTRK 

On update of P5MIN scenarios

P5MIN_UNITSOLUTION 

Every 5 minutes for all units, even zero targets

PARTICIPANT 

When new participants register or existing participants details are changed

PARTICIPANTACCOUNT 

When new participants register or existing participants details are changed

PARTICIPANTCATEGORY 

When categories change

PARTICIPANTCATEGORYALLOC 

Updates for new participants or when categories change

PARTICIPANTCLASS 

When classifications change

PARTICIPANTCREDITDETAIL 

When participant credit details are created or updated

PARTICIPANTNOTICETRK 

When a participant notice is issued

PARTICIPANT_BANDFEE_ALLOC 

When there is a participant configuration change

PD7DAY_CASESOLUTION

Publishes few times per day

PD7DAY_CONSTRAINTSOLUTION

Publishes few times per day

PD7DAY_INTERCONNECTORSOLUTION

Publishes few times per day

PD7DAY_MARKET_SUMMARY

Publishes few times per day

PD7DAY_PRICESOLUTION

Publishes few times per day

PDPASA_CASESOLUTION

After each PDASA run (half-hourly)

PDPASA_CONSTRAINTSOLUTION 

After each PDASA run (half-hourly)

PDPASA_INTERCONNECTORSOLN 

After each PDASA run (half-hourly)

PDPASA_REGIONSOLUTION 

After each PDASA run (half-hourly)

PD_FCAS_REQ_CONSTRAINT

Public at the completion of a constraint FCAS processor run for a 30 minute predispatch run

PD_FCAS_REQ_RUN

Public at the completion of a constraint FCAS processor run for a 30 minute predispatch run

PERDEMAND 

When AEMO issues a new or revised forecast. ST PASA forecasts update seven days at a time. Predispatch updates one date.

PMS_GROUP 

When the record is created or updated

PMS_GROUPNMI 

When the NMIs are created or updated

PMS_GROUPSERVICE 

When the group service data is created or updated

PREDISPATCHBIDTRK 

Updated daily

PREDISPATCHBLOCKEDCONSTRAINT 

Every 30 minutes

PREDISPATCHCASESOLUTION 

Every 30 minutes

PREDISPATCHCONSTRAINT 

Every 30 minutes

PREDISPATCHINTERCONNECTORRES 

Every thirty-minute pre-dispatch run

PREDISPATCHINTERSENSITIVITIES 

Every 5 minutes

PREDISPATCHLOAD 

Every 30 minutes, with whole market data for the day before available as part of next day market data

PREDISPATCHOFFERTRK 

Every 30 minutes

PREDISPATCHPRICE 

Every thirty-minute pre-dispatch run

PREDISPATCHPRICESENSITIVITIES 

Every 30 minutes

PREDISPATCHREGIONSUM 

Every 30 minutes

PREDISPATCHSCENARIODEMAND 

When the predispatch scenario offset is updated

PREDISPATCHSCENARIODEMANDTRK 

When the predispatch scenario offset is updated

PREDISPATCH_FCAS_REQ 

Every thirty-minute pre-dispatch run

PREDISPATCH_LOCAL_PRICE 

Every 30 minutes

PREDISPATCH_MNSPBIDTRK 

After a pre-dispatch run

PRUDENTIALCOMPANYPOSITION 

Each prudential run

PRUDENTIALRUNTRK 

Each prudential run

REALLOCATION 

When two participants have settled through the AEMO pool settlements process

REALLOCATIONINTERVAL 

 

30-minute or (5-minute for 5MS) data

REALLOCATIONINTERVALS 

When a reallocation contract has been submitted and accepted by AEMO

REGION 

When there is change to a region

REGIONAPC 

When an Administered Price Cap occurs

REGIONAPCINTERVALS 

When an Administered Price Cap occurs

REGIONFCASRELAXATION_OCD 

Ad hoc, when there are occurrences of Over-constrained dispatch (OCD) re-runs

REGIONSTANDINGDATA 

When there is change to a region

RESDEMANDTRK 

Ad hoc

RESERVE 

Daily when AEMO updates forecasts

RESIDUECONTRACTPAYMENTS 

Ad hoc

RESIDUEFILETRK 

Ad hoc

RESIDUE_BID_TRK 

Updated quarterly before an auction

RESIDUE_CONTRACTS 

Updated quarterly

RESIDUE_CON_DATA 

On auction completion

RESIDUE_CON_ESTIMATES_TRK 

Updated quarterly

RESIDUE_CON_FUNDS 

Updated quarterly

RESIDUE_FUNDS_BID 

TBC

RESIDUE_PRICE_BID 

Upon participants making a bid

RESIDUE_PRICE_FUNDS_BID 

Updated after an auction

RESIDUE_PUBLIC_DATA 

Updated quarterly

RESIDUE_TRK 

Updated after an auction

ROOFTOP_PV_ACTUAL 

Event timing – every 30 minutes

ROOFTOP_PV_FORECAST 

Every 30 minutes over 8 days

SECDEPOSIT_INTEREST_RATE 

Upon entering and authorising the security deposit provision and interest rate

SECDEPOSIT_PROVISION 

Upon entering and authorising the security deposit provision and interest rate

SETAGCPAYMENT 

Each settlement run

SETAGCRECOVERY 

Each settlement run

SETAPCCOMPENSATION 

Each settlement run

SETAPCRECOVERY 

Each settlement run

SETCFG_PARTICIPANT_MPF 

When Market Participation Factors (MPF) data is updated

SETCFG_PARTICIPANT_MPFTRK 

When Market Participation Factors (MPF) data is updated

SETCFG_SAPS_SETT_PRICE

When records for Settlement Price for SAPS Energy in each region are added or modified

SETCFG_WDRRR_CALENDAR 

When records are added or modified

SETCFG_WDR_REIMBURSE_RATE 

Generated quarterly

SETCPDATA 

After each settlement run

SETCPDATAREGION 

After each settlement run

SETFCASCOMP 

Each settlement run

SETFCASRECOVERY 

Each settlement run

SETFCASREGIONRECOVERY 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SETGENDATA 

After each settlement run

SETGENDATAREGION 

After each settlement run

SETGOVPAYMENT 

Each settlement run

SETGOVRECOVERY 

Each settlement run

SETINTERVENTION 

Not used

SETINTERVENTIONRECOVERY 

Not used

SETINTRAREGIONRESIDUES 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SETIRAUCSURPLUS 

After each settlement run

SETIRFMRECOVERY 

Each settlement run

SETIRNSPSURPLUS 

After each settlement run

SETIRPARTSURPLUS 

After each settlement run

SETIRSURPLUS 

Daily at 8 am

SETLOCALAREAENERGY 

After each settlement run

SETLOCALAREATNI 

After each settlement run

SETLSHEDPAYMENT 

After each settlement run

SETLSHEDRECOVERY 

After each settlement run

SETLULOADPAYMENT 

Each settlement run

SETLULOADRECOVERY 

Each settlement run

SETLUNLOADPAYMENT 

Each settlement run

SETLUNLOADRECOVERY 

Each settlement run

SETMARKETFEES 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SETREALLOCATIONS 

Updates by the posting of a billing run

SETRESERVERECOVERY 

When reserve recovery occurred in a billing run

SETRESERVETRADER 

When a reserve trading occurs in a billing run

SETRESTARTPAYMENT 

After each settlement run

SETRESTARTRECOVERY 

After each settlement run

SETRPOWERPAYMENT 

After each settlement run

SETRPOWERRECOVERY 

After each settlement run

SETSMALLGENDATA 

When there is a change to the metering data and associated settlement values to a participant's registered Small Generator Aggregator

SETVICBOUNDARYENERGY 

The posting of a billing run

SETVICENERGYFIGURES 

Daily with settlements

SETVICENERGYFLOW 

Daily with settlements

SET_ANCILLARY_SUMMARY 

After posting of a billing run

SET_APC_COMPENSATION 

After posting of a billing run

SET_APC_RECOVERY 

After posting of a billing run

SET_CSP_DEROGATION_AMOUNT 

At the posting of a billing run

SET_CSP_SUPPORTDATA_CONSTRAINT 

At the posting of a billing run

SET_CSP_SUPPORTDATA_SUBPRICE 

At the posting of a billing run

SET_ENERGY_GENSET_DETAIL

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_ENERGY_REGION_SUMMARY

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_ENERGY_TRANSACTIONS

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_ENERGY_TRAN_SAPS

After posting of a billing run

SET_FCAS_PAYMENT 

After posting of a billing run

SET_FCAS_RECOVERY 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_FCAS_REGULATION_TRK 

Posting a billing run

SET_MR_PAYMENT 

Ad hoc, when there are MR events

SET_MR_RECOVERY 

Ad hoc, when there are MR events

SET_NMAS_RECOVERY 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_NMAS_RECOVERY_RBF 

Posting a billing run

SET_RECOVERY_ENERGY 

Daily Billing Run & Posting a PRELIM/FINAL and REVISE Billing Run

SET_RUN_PARAMETER 

Posting a billing run

SET_SUBSTITUTE_DEMAND 

Posting a billing run

SET_SUBST_RUN_VERSION 

Posting a billing run

SET_WDR_RECON_DETAIL 

Posting a billing run

SET_WDR_TRANSACT 

Posting a billing run

SPDCONNECTIONPOINTCONSTRAINT 

When a new connection point constraint is created

SPDINTERCONNECTORCONSTRAINT 

When a new connection point constraint is created

SPDREGIONCONSTRAINT 

When AEMO creates new regional constraints

SRA_CASH_SECURITY 

On record authorisation

SRA_FINANCIAL_AUCPAY_DETAIL 

On successful posting of an SRA financials run

SRA_FINANCIAL_AUCPAY_SUM 

On successful posting of an SRA financials run

SRA_FINANCIAL_AUC_MARDETAIL 

On successful posting of an SRA financials run

SRA_FINANCIAL_AUC_MARGIN 

On successful posting of an SRA financials run

SRA_FINANCIAL_AUC_RECEIPTS 

On successful posting of an SRA financials run

SRA_FINANCIAL_RUNTRK 

On successful posting of an SRA financials run

SRA_OFFER_PRODUCT 

On successful submission of an SRA offer file

SRA_OFFER_PROFILE 

On successful submission of an SRA offer file

SRA_PRUDENTIAL_CASH_SECURITY 

On authorisation of a cash security

SRA_PRUDENTIAL_COMP_POSITION 

On successful completion of a prudential run

SRA_PRUDENTIAL_EXPOSURE 

After each settlement run

SRA_PRUDENTIAL_RUN 

After each settlement run

STADUALLOC 

When there is a station configuration change or new unit registration

STATION 

When there is a station configuration change or new unit registration

STATIONOPERATINGSTATUS 

When there is a station owner change or new unit registration

STATIONOWNER 

When there is a station owner change or new unit registration

STATIONOWNERTRK 

When there is a station owner change or new unit registration

STPASA_CASESOLUTION 

After each STPASA run (every 2 hours)

STPASA_CONSTRAINTSOLUTION 

After each STPASA run (every 2 hours)

STPASA_INTERCONNECTORSOLN 

After each STPASA run (every 2 hours)

STPASA_REGIONSOLUTION 

After each STPASA run (every 2 hours)

STPASA_SYSTEMSOLUTION 

Each ST PASA run

STPASA_UNITSOLUTION 

Each ST PASA run

TRADINGINTERCONNECT 

Every 30 minutes on price update

TRADINGLOAD 

Every 30 minutes

TRADINGPRICE 

Every 30 minutes on price update

TRADINGREGIONSUM 

Every 30 minutes

TRANSMISSIONLOSSFACTOR 

When new connection points are created or loss factors change

UFE

After each billing run

VALUATIONID 

Updated quarterly

VOLTAGE_INSTRUCTION 

Signal or instructions issued

VOLTAGE_INSTRUCTION_TRK 

Signal or instructions issued

WDR_BASELINE_CALC_PARAM

Posting of a billing run

WDR_BASELINE_EVENT_RESULTS

Posting of a billing run

WDR_BASELINE_EVENT_DATA

Posting of a billing run

WDR_BASELINE_EVENT_SELECTDAY_DATA

Posting of a billing run

WDR_BASELINE_ADJ_WINDOW

Posting of a billing run

WDR_BASELINE_ADJ_WINDOW_DATA

Posting of a billing run

WDR_BASELINE_ADJ_WINDOW_SELECDAYS_DATA

Posting of a billing run