Message-ID: <13581369.1075840596837.JavaMail.evans@thyme> Date: Mon, 2 Apr 2001 08:07:00 -0700 (PDT) From: caroline.emmert@enron.com To: portland.shift@enron.com Subject: Buy/Resells - What We Learned Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: Caroline Emmert X-To: Portland Shift X-cc: X-bcc: X-Folder: \mark guzman 6-28-02\Notes Folders\All documents X-Origin: GUZMAN-M X-FileName: mark guzman 6-28-02.nsf FYI - Not sure if all of you have this information. C ---------------------- Forwarded by Caroline Emmert/HOU/ECT on 04/02/2001 03:14 PM --------------------------- Caroline Emmert 09/07/2000 12:22 PM To: John M Forney/HOU/ECT@ECT cc: Chris Stokley/HOU/ECT@ECT Subject: Buy/Resells - What We Learned John, From our research into Avista and others, here is what we have learned about using Buy/Resells: Whether to select "Buy From" or "Sell To" upon deal entry is determined by the ultimate purpose of the BR, as shown here: Purpose: Pay the Customer (sleeve or other service they have provided to EPMI) Type is Buy From Pricing is: Buy = EPMI price Sell = Customer price Charge the Customer (services or other, like transmission recapture) Type is Sell To Pricing is: Buy = Customer price Sell = EPMI price I hope this helps to determine the correct way of entering a buy/resell, and will alleviate settlement discrepancies in the future. If you agree with this, feel free to share it with the real time group. Caroline