This page provides access to data series associated with entry
capacity.
The Allocated
Timestamp pages provide access to Allocated Price Timestamp data.
This is the timestamp for the allocation of prompt buybacks for
physical flows.
The Daily Firm
pages provide access to Firm Daily Exit Capacity data. This provides
details of levels of Exit Capacity made available and sold at daily
resolution.
The Day
Ahead pages provide access to Day Ahead Exit Capacity data. This
provides details of trading for day ahead exit capacity for exit
points on a given day.
The Future
pages provide access to Future Exit Capacity data. This gives
details of levels of exit capacity sold ahead.
The Offpeak
pages provide access to Offpeak Exit Capacity data. This provides
details of levels of offpeak Exit Capacity made available and sold
at daily resolution.
The Overview
pages provide access to Exit Capacity Overview data. This provides a
summary of exit capacity booked both zonally and nationally.
The Long-Term
pages provide access to Firm Long-Term Exit Capacity data. This
provides details of levels of Exit Capacity made available and sold
at long-term resolution.
The Prompt
Buyback pages provide access to Prompt Buyback data. To manage an
input constraint, e.g. high pressure on the system, National Grid
will often undertake prompt buy back to alleviate the constraint.
The Traded
Days pages provide access to Capacity Trading Number of Days Traded
data. This provides details on the number of traded days for
capacity trading.
The Within
Day pages provide access to Within Day Exit Capacity data. This
provides details of trading for within day exit capacity for exit
points on a given day.