Difference between revisions of "Talk:Project Glossary"

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(Depot position)
(Depot position)
 
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==== Depot position  ====
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=== Depot position  ===
So far Depot Position has a different meaning. It describes the balance of power futures (i.e. binding power production or consumption guarantees for a future timeslot) a particular broker bought or sold for a particular timeslot. A depot position contains both, the last change as well as the running balance. Example:
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'''CB''' - So far Depot Position has a different meaning. It describes the balance of power futures (i.e. binding power production or consumption guarantees for a future timeslot) a particular broker bought or sold for a particular timeslot. A depot position contains both, the last change as well as the running balance. Example:  
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List of DepotPositions as recorded by the accounting service
  
List of DepotPositions as recorded by the accounting service
 
 
{| border="1"
 
{| border="1"
|Broker
 
|Timeslot
 
|Product
 
|Reason
 
|Origin
 
|DepotChange
 
|Balance
 
 
|-
 
|-
|Broker 1
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| Broker
|06:00 - 07:00
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| Timeslot
|Future
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| Product
|Execution of order y
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| Reason
|Buy Order
+
| Origin
|100
+
| DepotChange
|100
+
| Balance
 +
|-
 +
| Broker 1  
 +
| 06:00 - 07:00  
 +
| Future  
 +
| Execution of order y  
 +
| Buy Order  
 +
| 100  
 +
| 100
 
|-
 
|-
|Broker 1
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| Broker 1  
|06:00-07:00
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| 06:00-07:00  
|Future
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| Future  
|Ex-Post Balancing Power
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| Ex-Post Balancing Power  
|Distribution Utility
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| Distribution Utility  
|./.20
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| ./.20  
|80
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|  
 +
80  
 
|}
 
|}
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'''JEC''' - I don't entirely understand this. First, this looks like a sequence of transactions, not a position. Also, how can Ex-Post Balancing Power be for a Future timeslot? I suggest we call the rows of this table Market Transactions, and the net import/export commitment for a given timeslot a Market Position.

Latest revision as of 00:42, 14 December 2010

Depot position

CB - So far Depot Position has a different meaning. It describes the balance of power futures (i.e. binding power production or consumption guarantees for a future timeslot) a particular broker bought or sold for a particular timeslot. A depot position contains both, the last change as well as the running balance. Example:

List of DepotPositions as recorded by the accounting service

Broker Timeslot Product Reason Origin DepotChange Balance
Broker 1 06:00 - 07:00 Future Execution of order y Buy Order 100 100
Broker 1 06:00-07:00 Future Ex-Post Balancing Power Distribution Utility ./.20

80

JEC - I don't entirely understand this. First, this looks like a sequence of transactions, not a position. Also, how can Ex-Post Balancing Power be for a Future timeslot? I suggest we call the rows of this table Market Transactions, and the net import/export commitment for a given timeslot a Market Position.