Examples of Settlement Schedules in a sentence
The seller receives an increase in load obligation equal to the specified MW amount and the buyer receives a reduction in load obligation equal to the specified MW amount (the equivalent of a Resource settlement) at the specified Settlement Location.Transactions related to Bilateral Settlement Schedules for Operating Reserve obligation must specify the buyer, the seller, the Operating Reserve product, the MW obligation transfer and the Reserve Zone within which the obligation transfer applies.
Submittals not confirmed by both parties will not be included in any settlement execution.Transactions related to Bilateral Settlement Schedules for Energy must specify the Settlement Location, the MW amount, the buyer, the seller and which market it applies to (Day-Ahead Market or RTBM), and must be for the physical transfer of Energy, with title of the energy transferring from the seller to the buyer at the Settlement Location specified for the transaction.
The Parties to the Nauru Agreement are the tuna-rich states of Federated States of Micronesia, Kiribati, Marshall Islands, Nauru, Palau, Papua New Guinea, Solomon Islands, and Tuvalu.
Submittals not confirmed by both parties will not be included in any settlement execution.Transactions related to Bilateral Settlement Schedules for Energy must specify the Settlement Location, the MW amount, the buyer, the seller and which market it applies to (DA Market or RTBM).
The inter-participant settlement of funds for Debt Securities traded on the CSE shall take place by 10.30 hours on the Settlement Date, through the settlement bank/s as per the Settlement Schedules issued by the CDS.
Submittals not confirmed by both parties will not be included in any settlement execution.Transactions related to Bilateral Settlement Schedules for Energy must specify the Settlement Location, the MW amount, the buyer, the seller and which market it applies to (Day-Ahead Market or RTBM).
Electronic Workspaces are linked via the Settlement Schedules of the relevant Electronic Workspaces.
Subsequent submission by either the buyer or the seller of Bilateral Settlement Schedules for Energy and/or Operating Reserve associated with the registered Bilateral Settlement Schedule in either the Day-Ahead Market and/or RTBM must be consistent with the quantities specified in the bilateral contract.
Has your DEA certificate ever been relinquished, limited, denied, suspended, or revoked?g.
The Asset Owner Settlement Location Withdrawal in Loss Pool is equal to the positive value of sum of the Asset Owner’s cleared Demand Bids, cleared Resource Offers, cleared Interchange Transactions, Day-Ahead Market Bilateral Settlement Schedules, andGFA Carve Out Schedules , and FSE Schedules at that Settlement Location in that Loss Pool.