Glossary Term: Trading Charges Amount

In relation to any Settlement Day and Notification Date,(a) the amount (in relation to a Trading Party) calculated for the Settlement Day in respect of each of the following Trading Charges separately: (i) the Daily Party BM Unit Cashflow; (ii) the Daily Party Non-Delivery Charge; (iii) the Daily Party Energy Imbalance Cashflow; (iv) the Daily Party Information Imbalance Charges; and (v) the Daily Party Residual Settlement Cashflow. (b) the net credit or debit amount for the Settlement Day for all Trading Charges under paragraph (b) for that Trading Party and the (in relation to the Transmission Company) Daily System Operator BM Cashflow is the “Trading Charges Amount”; has the meaning given to that term in Section N6.1;

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