Message-ID: <26844774.1075858844783.JavaMail.evans@thyme> Date: Tue, 23 Oct 2001 12:44:39 -0700 (PDT) From: shelley.corman@enron.com To: galen.coon@enron.com, james.studebaker@enron.com Subject: Cash-Out Analysis Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: Corman, Shelley X-To: Coon, Galen , Studebaker, James X-cc: X-bcc: X-Folder: \SCORMAN (Non-Privileged)\Sent Items X-Origin: Corman-S X-FileName: SCORMAN (Non-Privileged).pst Galen/Jim, Thanks for the info. I have been building spreadsheet cases all day. FYI - majority/minority isn't driven by the number of shippers, its driven by the volume. I made the appropriate changes on Galen's spreadsheet. A couple of further things that I need: - I need to reconcile the net volume on Galen's sheet by month with the net cash out volumes on Jim's sheet. There are huge differences. Can these really all be receipt imbalances? Galen for the months Aug 00-Jul 01 can you break out receipt imbalances from market imbalances. We are only planning to put the majority/minority pricing on the market area imbalances. Let me know if you guys want to sit down and talk through this. I need to get Teb my final analysis by the end of the week.