Pricing Manifest Error

Affected Period

Status
Closed

Category
Balancing

Run type
Imbalance Pricing

Created
15/10/2019 16:45

Last Updated
15/10/2019 16:47

Dear Market Participant,

SEMO have identified two manifest errors in the calculation of the Imbalance Settlement Price.

1.     Incorrect Calculation of QBOA for a Unit

There was an error in the calculation of QBOA for a Unit between 04:00 and 16:00 on the 8th October 2019. This impacted the Net Imbalance Volume by approximately 10 MWh for the duration of the impacted period.

SEMO are currently investigating the underlying cause of this issue.

2.     Units not being flagged on upward slope of reserve curve, despite reserve constraint binding

This issue has been previously communicated and can be found in the Known Issues Report under ID 6105. The Impacted Imbalance Settlement Periods are as follows: 

Trading Day

Imbalance Settlement Periods

8th October 2019

06:00 to 06:30

18:00 to 19:00

20:00 to 20:30

21:30 to 22:30

9th October 2019

06:30 to 07:00

08:30 to 10:00

10:30 to 11:00

11:30 to 12:00

13th October 2019

08:30 to 09:30

10:30 to 11:30

13:00 to 13:30

14th October 2019

06:00 to 07:00

10:00 to 10:30

11:00 to 12:00

12:30 to 15:00

16:30 to 17:00

18:30 to 19:00

19:30 to 21:30

15th October 2019

23:00 to 23:30

00:00 to 01:30

 

Kind Regards,

SEMO Trading Operations