Archive-Balancing group settlement

Prices for balancing energy

2015

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

2014

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

2013

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

2012

Am 15.02.2012 in der Zeit von 14:15 bis 17:30 Uhr sowie am 23.02.2012 in der Zeit von 00:45 bis 03:30 Uhr wurde zur Einhaltung der Systemsicherheit, eine globale EnWG § 13.2-Maßnahme angewiesen. Die Bilanzkreisabrechnung wurde für diese Zeit entsprechend EnWG § 13.4 ausgesetzt.

Am 28.03.2012 in der Zeit von 21:00 bis 24:00 Uhr sowie am 29.03.2012 in der Zeit von 00:00 bis 01:15 Uhr wurde zur Einhaltung der Systemsicherheit, eine globale EnWG § 13.2-Maßnahme angewiesen. Die Bilanzkreisabrechnung wurde für diese Zeit entsprechend EnWG § 13.4 ausgesetzt.

2011

Single price for compensation energy across all control areas (reBAP) in the usual Excel format (in euros/MWh)

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)
Die Preise für den Monat 10 / 2011 wurden am 04.06.2012 im Vergleich zur Veröffentlichung im November 2011 geringfügig korrigiert.

Am 03.12.2011 in der Zeit von 15:45 bis 18:15 Uhr wurde zur Einhaltung der Systemsicherheit, eine globale EnWG § 13.2-Maßnahme in Höhe von 1.000 MW angewiesen. Die Bilanzkreisabrechnung wurde für diese Zeit entsprechend EnWG § 13.4 ausgesetzt.

2010

Single price for compensation energy across all control areas (reBAP) in the usual Excel format (in euros/MWh)

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

2009

Single price for compensation energy across all control areas (reBAP) in the usual Excel format (in euros/MWh)

Please note with regard to the December file: On 26 December 2009 at 00:30 to 06:00 a.m., 50Hertz (formerly Vattenfall Europe Transmission GmbH) took measures pursuant to section 13 subsection 2 EnWG. All duties to perform according to section 13 subsection 4 EnWG were dormant during this period of time. This means all balancing group settlement in the control area was suspended for this time. Please take this circumstance into consideration when checking your bill.

Please note with regard to the September file: In billing for control energy, the meter count of a generation unit in the area of one TSO has not been taken into account because of conversion works on a meter. This necessitated subsequent correction of the respective provider’s bill, which has also had an impact on calculation of the common compensation energy price. We apologise for this error and thank you for your understanding. For the updated figures concerning balancing group settlement for the month of September, please go to the .xls and .csv files published on this site.

Please note with regard to the May file: In billing for control energy, the meter count of a generation unit in the area of one TSO has not been taken into account because of conversion works on a meter. This necessitated subsequent correction of the respective provider’s bill, which has also had an impact on calculation of the common compensation energy price. We apologise for this error and thank you for your understanding. For the updated figures concerning balancing group settlement for the month of September, please go to the .xls and .csv files published on this site.

Please note with regard to the March file: On 23 March 2009 at 03:45 to 08:00 a.m., Vattenfall Europe Transmission GmbH took measures pursuant to section 13 subsection 2 EnWG. All duties to perform according to section 13 subsection 4 EnWG were dormant during this period of time. This means all balancing group settlement in the control area was suspended for this time. Please take this circumstance into consideration when checking your bill.

Please note with regard to the February file: The transition to a uniform, agreed pricing methodology including negative prices was made upon publication of the compensation energy prices for February 2009.

Single price for compensation energy across all control areas (reBAP) in the CSV format (in cts/kWh)

2008

Prices for compensation energy in Excel format

2007

Prices for compensation energy in Excel format

2006

Prices for compensation energy in Excel format

2005

Prices for compensation energy in Excel format

2004

Prices for compensation energy in Excel format

2003

Prices for compensation energy in Excel format

2002

Prices for compensation energy in Excel format

Tables of financial balance

Financial Balance 2015 - Archive

Compilation of costs and revenues from balancing group accounts

2015 (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
February
March
April
May
June
July
August
September
October
November
December

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)

Financial Balance 2014 - Archive

Compilation of costs and revenues from balancing group accounts

2014 (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
February
March
April
May
June
July
August
September
October
November
December

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)

Financial balance 2013 - Archive

Costs of capacity provision for control energy

2013 Costs of capacity provision in €
January 9.073.441,32
February 6.287.241,31
March 5.783.963,93
April 9.465.096,02
May 13.447.061,21
June 10.164.616,33
July 14.037.125,51
August 14.931.546,80
September 10.860.542,84
October 12.996.461,42
November 11.522.072,10
December 19.052.817,80

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.

Compilation of costs and revenues from balancing group accounts

2013 (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
February
March
April
May
June
July
August
September
October
November
December

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)

Financial balance 2012 - Archive

Costs of capacity provision for control energy

2013 Costs of capacity provision in €
January 7,929,017.08
February 6,074,936.33
March 4,003,151.35
April 5,701,723.66
May 9,134,287.45
June 8,314,681.54
July 8,843,028.78
August 8,606,742.86
September 8,704,856.55
October 10,433,730.99
November 7,713,390.08
December 7.965.830,50

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.

Compilation of costs and revenues from balancing group accounts

2012 (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 5.682.888,69 42.924.253,77 48.607.142,46 0,00
February 18.815.494,50 26.318.646,36 45.134.140,86 0,00
March 3.901.173,92 5.763.743,04 9.664.916,96 0,00
April 7.594.620,34 3.735.667,59 11.330.287,93 0,00
May 6.739.048,98 18.149.723,60 24.888.772,58 0,00
June 5.799.370,71 15.821.922,02 21.621.292,73 0,00
July 4.174.847,47 14.742.687,54 18.917.535,01 0,00
August 4.604.656,37 12.224.286,13 16.828.817,88* 0,00
September 3.112.719,36 6.700.074,22 9.812.793,58 0,00
October 5.853.219,21 9.946.301,30 15.799.520,51 0,00
November 3.873.900,61 10.073.398,52 13.947.299,13 0,00
December 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)

Financial balance 2011 - Archive

Compilation of costs and revenues from balancing group accounts

2011 (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 6.590.859,00 8.979.287,71 15.570.146,71 0,00
February 1.168.022,00 6.328.042,76 7.496.064,76 0,00
March 2.006.176,00 6.428.038,25 8.434.214,25 0,00
April 4.018.032,75 7.196.040,20 11.214.072,95 0,00
May 2.970.805,20 4.869.502,59 7.840.307,79 0,00
June 3.510.513,74 7.978.850,66 11.489.364,40 0,00
July 773.158,65 5.011.300,36 5.784.459,01 0,00
August 2.276.067,66 5.594.539,53 7.870.607,19 0,00
September 1.150.666,29 6.785.357,21 7.936.023,50 0,00
October 1.657.310,91 7.838.211,26 9.495.522,17 0,00
November 4.023.374,87 13.793.117,87 17.816.492,74 0,00
December 2.191.929,69 5.841.208,51 8.033.138,20 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)

Costs of capacity provision for control energy

2011 Costs of capacity provision in €
January 9.847.971,68
February 8.258.439,43
March 6.178.195,16
April 6.255.747,32
May 7.839.365,49
June 15.488.875,85
July 15.930.259,44
August 13.197.870,27
September 11.664.346,51
October 10.772.471,02
November 7.685.650,90
December 7.761.279,07

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.

Financial balance 2010 – Archive

Costs of capacity provision for control energy

2010 Costs of capacity provision in € *
January 12.421.596,92
February 10.813.452,21
March 11.588.244,00
April 12.159.857,50
May 12.893.242,73
June 11.699.274,41
July 11.775.464,79
August 12.847.430,87
September 12.655.056,03
October 12.128.632,62
November 11.615.719,55
December 10.840.159,34

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

2010 (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 15.666.827,94 13.087.489,92 28.754.317,86 0,00
February 2.042.288,56 9.935.006,91 11.977.295,47 0,00
March 6.474.895,18 5.836.590,54 12.311.485,72 0,00
April 2.260.360,82 3.081.484,77 5.341.845,59 0,00
May 5.600.709,54 9.197.559,26 14.798.268,80 0,00
June 2.526.351,20 6.972.194,74 9.498.545,94 0,00
July 2.251.153,00 6.749.201,83 9.000.354,83 0,00
August 2.867.218,00 3.870.953,91 6.738.171,91 0,00
September 2.180.282,60 4.005.954,71 6.186.237,31 0,00
October 4.762.407,00 5.564.438,37 10.326.845,37 0,00
November 2.641.906,00 8.079.510,12 10.721.416,12 0,00
December 5.657.548,00 13.551.531,30 19.209.079,30 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)

Financial balance 2009 – Archive

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 10.994.238,66 14.834.485,95 0,00
November 6.236.327,13 8.757.000,62 14.993.327,75 0,00
December 13.286.780,69 13.420.259,23 26.707.039,92 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)

Financial balance 2008 – Archive

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) 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 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)