With each Settlement Statement, ERCOT must provide information regarding the Load estimation required because of missing metered volumes. Information for ERCOT-wide estimation, represented REPs estimation, and their specific QSEs estimation.
Reason:
QSEs are bearing the financial exposure from any inaccuracy in the estimation of load as a result of missing metered volumes at ERCOT. Better transparency concerning the amount of load estimation involved in the production of ERCOT Settlement statements “ both for the ERCOT-wide market settlement and their by Load calculations is needed. This will give QSEs better data with which to base their analysis of their own load exposure at True-up and the impact of estimation on their preliminary settlement statements.