Financial balance – Archive 2008
Costs of capacity provision for control energy
| 2008 | Costs of capacity provision in € * |
|---|---|
| January |
11.734.707,57 |
| February |
11.596.538,29 |
| March |
11.317.281,48 |
| April |
13.281.311,20 |
| May |
11.819.422,59 |
| June |
15.202.498,85 |
| July |
13.661.638,60 |
| August |
13.284.362,88 |
| September |
13.791.830,46 |
| October |
14.943.722,57 |
| November |
13.465.631,54 |
| December |
13.225.126,82 |
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
| 2008 |
(1) |
(2) Credits to parties responsible for balancing groups in € |
(3) Invoices to parties responsible for balancing groups in € |
(4) Balance in €** |
|---|---|---|---|---|
| January |
2.991.310,01 |
4.886.748,46 |
7.878.058,47 |
0,00 |
|
February |
3.333.239,54 |
4.955.195,16 |
8.288.434,70 |
0,00 |
|
March |
7.629.620,74 |
8.476.000,65 |
16.105.621,39 |
0,00 |
|
April |
11.026.350,24 |
8.300.303,11 |
19.326.653,35 |
0,00 |
|
May |
5.220.052,00 |
6.378.693,94 |
11.598.745,94 |
0,00 |
|
June |
4.602.256,91 |
4.067.462,88 |
8.669.719,79 |
0,00 |
|
July |
8.533.829,29 |
5.994.495,70 |
14.528.324,99 |
0,00 |
|
August |
3.435.200,75 |
6.680.751,41 |
10.115.952,16 |
0,00 |
|
September |
5.104.020,29 |
10.100.017,83 |
15.204.038,12 |
0,00 |
|
October |
4.166.283,27 |
8.682.770,72 |
12.849.053,99 |
0,00 |
|
November |
5.083.454,40 |
8.929.937,63 |
14.013.392,03 |
0,00 |
|
December |
1.085.700,52 |
3.193.328,62 |
4.279.029,14 |
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)









