(MN1) Notification of Manifest Error

Affected Period
N/A

Status
Closed

Category
Balancing

Run type
Imbalance Pricing

Created
12/11/2021 14:32

Last Updated
12/11/2021 14:32

Dear Market Participants,


The Market Operator has identified a manifest error in the calculation of the Imbalance Settlement Price.


Commercial Offer Data was incorrectly applied in Imbalance Pricing; during the periods set out below.


Trading Day

Imbalance Settlement Periods

05/11/2021

08:00 to 08:30

05/11/2021

10:00 to 10:30

05/11/2021

10:30 to 11:00

05/11/2021

15:30 to 16:00

05/11/2021

16:00 to 16:30

05/11/2021

16:30 to 17:00


These dates will be included in the Balancing Market Repricing Calendar.


Kind regards,


SEMO Trading Operations