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ICE OTC

PJM Eastern Bal-Day Financial Peak (bilateral)

Description

Bilaterally traded Financial Peak Power

Market Specifications

Trading Screen Product Name
Fin Swap-Peak
Trading Screen Hub Name
PJM EH RT
Trading Hours
24 x 7
Schedule
All peak hours for the applicable strip length referenced by the market for hours that are hours ending 0800-2300 in the eastern ("EPT") or central ("CPT") prevailing time zone., for Monday thru Friday week days that are non-NERC holidays.
Unit of Trading
Contract Size multiplied by the number of off peak hours of every day in the calendar month traded. This will be expressed as "lots" in PTMS.
Currency
US $ and cents per MWH
Minimum Tick
0.05 per MWH
Last Trading Day
Two business days prior to the contract month.
Settlement
Cash Settled in USD.
Settlement Date
Each pricing day during a Determination Period.
Payment Dates
Ten (10) New York Business Days of the month following the Determination Period via wire transfer of Federal Funds.
MIC Code
IEPA
Clearing Venues