(MN1) Notification of Manifest Error

Affected Period
N/A

Status
Closed

Category
Balancing

Run type
Imbalance Pricing

Created
08/07/2022 16:52

Last Updated
08/07/2022 16:57

Dear Market Participant,

The Market Operator has identified a manifest error in the calculation of the Imbalance Settlement Price; resulting from the incorrect application of PBOA.

Trading Day

Imbalance Settlement Periods

01/07/2022

19:30 to 20:00

21:00 to 23:00

02/07/2022

01:00 to 06:00

 

These impacted Imbalance Settlement Periods have been included in the Balancing Market Repricing Calendar.

Kind regards,

SEMO Trading Operations