Glossary
List of all BSC Modifications
P335 – Inclusion of Non-BM STOR costs and volumes in the indicative cashout price
Inclusion of Non-BM STOR costs and volumes in the indicative cashout price
P334 – Inclusion of Non-BM STOR costs and volumes into the cashout price in time for publication after the end of the Settlement Period
Inclusion of Non-BM STOR costs and volumes into the cashout price in time for publication after the end of the Settlement Period
P333 – Inclusion of DSBR volumes into the cashout price in time for publication after the end of the Settlement Period
Inclusion of DSBR volumes into the cashout price in time for publication after the end of the Settlement Period
P332 ‘Revisions to the Supplier Hub Principle’
Revisions to the Supplier Hub Principle
P331 – Extended Dispute Deadline at the Post-Final Settlement Run under exceptional circumstances
Extended Dispute Deadline at the Post-Final Settlement Run under exceptional circumstances
P330 – Allowing Elexon to tender for the Uniform Network Code Gas Performance Assurance Framework Administrator (PAFA) role
Allowing Elexon to tender for the Uniform Network Code Gas Performance Assurance Framework Administrator (PAFA) role
P329 – Changes to REMIT inside information reporting
Changes to REMIT inside information reporting
P328 – Clarifying BSC SBR definitions to align with the BSAD and SMAF Methodology Statements
Clarifying BSC SBR definitions to align with the BSAD and SMAF Methodology Statements
P327 – Clarifications to P305 legal text
Clarifications to P305 legal text
P326 – Introduction of a non-Working Day adjustment to the Credit Cover Percentage calculation
Introduction of a non-Working Day adjustment to the Credit Cover Percentage calculation