Financial balance – Archive 2009
Costs of capacity provision for control energy
| 2009 | Costs of capacity provision in € * |
|---|---|
| January |
13.317.912,11 |
| February |
11.926.025,92 |
| March |
17.422.455,25 |
| April |
20.360.720,02 |
| May |
19.007.083,32 |
| June |
14.273.911,35 |
| July |
11.991.265,81 |
| August |
12.684.789,98 |
| September |
11.916.318,76 |
| October |
12.022.279,06 |
| November |
12.410.022,06 |
| December |
11.958.989,44 |
Please note: The indicated costs for maintaining control power include the costs incurred by 50Hertz after re-sale, and after inter-TSO balancing, on a monthly basis. This covers all three types of control power, i.e. primary control power, secondary control power and minute reserve. The costs of capacity provision are factored into the use-of-system charges.
* These data are of a provisional nature.
Compilation of costs and revenues from balancing group accounts
| 2009 | (1) Costs of control energy in € |
(2) Credits to parties responsible for balancing groups in € |
(3) Invoices to parties responsible for balancing groups in € |
(4) Balance in €** |
|---|---|---|---|---|
| January |
5.403.359,27 |
10.131.459,05 |
15.534.818,32 |
0,00 |
|
February |
1.852.722,25 |
1.515.729,48 |
3.368.451,73 |
0,00 |
|
March |
2.634.847,22 |
649.581,69 |
3.284.428,91 |
0,00 |
|
April |
2.981.956,47 |
1.120.521,07 |
4.102.477,54 |
0,00 |
|
May |
2.784.335,45 |
2.333.235,71 |
5.117.571,16 |
0,00 |
|
June |
4.379.751,84 |
4.756.995,16 |
9.136.747,00 |
0,00 |
|
July |
6.062.269,35 |
2.123.808,74 |
8.186.078,09 |
0,00 |
|
August |
4.719.573,26 |
3.821.033,80 |
8.540.607,06 |
0,00 |
|
September |
4.525.964,46 |
4.496.667,73 |
9.022.632,19 |
0,00 |
|
October |
3.840.247,29* |
10.340.488,03* |
14.180.735,32* |
0,00 |
|
November |
6.236.327,13* |
8.757.098,99* |
14.993.426,12* |
0,00 |
|
December |
13.286.780,69* |
17.740.032,62* |
31.026.813,31* |
0,00 |
Please note: The costs and revenues from balancing group accounting are derived from the provisional balancing group account produced 42 business days after the end of a given month. The final costs and revenues are derived from the second, and thereby final, balancing group account (eight months after the end of a given month) and are considered accordingly in the reported figures.
* These data are of a provisional nature and are subject to changes in the final bill.
** The calculation rule for the balance is: (4) = (1) + (2) - (3)









