Public Settlements Reports

The Excess Congestion Fund\Auction Revenue Fund report is designed to provide users major market level bill determinants and charge types used in calculation of TCR/ARR totals for the SPP footprint.  SPP will provide a 36-month rolling history of the daily totals for each bill determinant and charge type.  The most current run type values available will be presented in the report (e.g. Resettlement, S120, S53, or S7).

In addition to the 36-month history, the following totals will be tallied on a separate tab of the report:

  • Target date and OD-1, 2, 3, 4, 5, and 6.
  • Previous 7 days summed
  • Month-to-Date
  • Same 7-day sum for the previous year
  • Year-to-Date

The Make Whole Payment (MWP) report is designed to provide users major market level bill determinants and charge types used in calculation of MWP totals for the SPP footprint.  SPP will provide a 36-month rolling history of the daily totals for each bill determinant and charge type.  The most current run type values available will be presented in the report (e.g. Resettlement, S120, S53, or S7).

In addition to the 36-month history, the following totals will be tallied on a separate tab of the report:

  • Target date and OD-1, 2, 3, 4, 5, and 6.
  • Previous 7 days summed
  • Month-to-Date
  • Same 7-day sum for the previous year
  • Year-to-Date

The Operating Reserve Cost Allocation report is designed to provide users major market level bill determinants and charge types used in the calculation of Operating Reserve Cost Allocation totals for the SPP footprint.  SPP provided a 36-month rolling history of the hourly totals for each bill determinant and charge type.  The most current run type values available will be presented in the report (e.g. Resettlement, S120, S53, or S7).
 

The Over Collected Loses (OCL) report is designed to provide users major market level bill determinants and charge types used in calculation of OCL totals for the SPP footprint.  SPP will provide a 36-month rolling history of the daily totals for each bill determinant and charge type.  The most current run type values available will be presented in the report (e.g. Resettlement, S120, S53, or S7).

In addition to the 36-month history, the following totals will be tallied on a separate tab of the report:

  • Target date and OD-1, 2, 3, 4, 5, and 6.
  • Previous 7 days summed
  • Month-to-Date
  • Same 7-day sum for the previous year
  • Year-to-Date

The following reports contain rates for all source to sink location combinations.  The rate effective date is included in the report as well as file name.

  • Base Plan Regional Firm Matrix (Schedule 11)
  • Base Plan Regional Non-Firm Matrix (Schedule 11)
  • Base Plan Zonal Firm Matrix (Schedule 11)
  • Base Plan Zonal Non-Firm Matrix (Schedule 11)
  • Reactive Matrix (Schedule 2)
  • Scheduling Matrix (Schedule 1)
  • Zonal Firm Matrix (Schedule 7)
  • Zonal Non-Firm Matrix (Schedule 8)
The Resource Specific Uplift Report is a report of the total monthly Day-Ahead and Real-Time uplift payments in dollars for each Settlement Location and Market Participant (Real-Time Reserve Sharing Group Amount only) by Uplift charge type. This report will assist in improving market efficiency by providing the information for consideration of where to site new resources, transmission facilities, and demand response. The deadline to post this report is not until 90 calendar days after the reporting month.

The Revenue Neutrality Uplift (RNU) report is designed to provide users major market level bill determinants and charge types used in calculation of RNU totals for the SPP footprint.  SPP will provide a 36-month rolling history of the daily totals for each bill determinant and charge type.  The most current run type values available will be presented in the report (e.g. Resettlement, S120, S53, or S7).

In addition to the 36-month history, the following totals will be tallied on a separate tab of the report:

  • Target date and OD-1, 2, 3, 4, 5, and 6.
  • Previous 7 days summed
  • Month-to-Date
  • Same 7-day sum for the previous year
  • Year-to-Date
The Zonal Uplift Report is a monthly report of the total Day-Ahead and RUC uplift paid in dollars for each Settlement Area and Operating Day by Uplift charge type. This report provides granular information about location, timing and causes of uplift. The deadline to post this report is within 20 calendar days after the end of each month.