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ICE OTC

ERCOT North 345kV Physical Off-Peak Weekend HE 0700-2200 Fixed Price

Description

Firm Energy with Liquidated Damages. Fixed-price Physical ERCOT Daily Power delivered at a specified ERCOT location

Market Specifications

Trading Screen Product Name
Firm-LD Off-Peak
Trading Screen Hub Name
ERCOT North 345kV Hub Off-Peak Wknd
Contract Symbol
XPC
Contract Size
50 MW per hour
Currency
US $ and cents per MWH
Minimum Price Fluctuation
0.01 per MMBTU/MWh
Listing Cycle
Up to 72 consecutive monthly Contract Periods
Schedule
All off-peak hours for the applicable strip length referenced by the market for hours ending 0700-2200 in the central ("CPT") prevailing time zone, for Saturday, Sunday and NERC holidays.
Last Trading Day
The second to last business day of the month prior to the delivery month.
Daily Settlement
Daily settlement will be determined by NGX using price data from a number of sources including, spot, forward and derivative markets for both physical and financial products
Final Settlement
Final settlement will be determined by the actual fixed price entered into at the time of the transaction.
Payment Dates
Payment due on the 20th of the month following the Delivery Period by wire transfer of Federal Funds, unless otherwise stated by a master agreement between the Buyer and Seller.
MIC Code
IEPA
Clearing Venues
NGXC