v1
latestOpenAPI 3.0.42026-07-233182951.4 MBIndicative Imbalance Settlement
Settlement system prices by settlement date and period (DISEBSP)
Returns settlement system buy and sell prices generated by the SAA for a given settlement period, relating to the data for a settlement run.
Only messages generated for the latest settlement run are returned.
Settlement date parameter must be provided in the exact format yyyy-MM-dd.
get/balancing/settlement/system-prices/{settlementDate}/{settlementPeriod}
Path parameters
settlementPeriodinteger required
Example:1
The settlement period to filter. This should be an integer from 1-50 inclusive.
settlementDatestring date required
Example:2024-02-01
The settlement date to filter. This must be in the format yyyy-MM-dd.
Query parameters
format'json' | 'xml' | 'csv'
Response data format. Use json/xml to include metadata.
Response
Data retrieved
Example response
{
"data": [
{
"settlementDate": "2023-09-18",
"settlementPeriod": 2,
"startTime": "2023-09-18T00:30:00Z",
"createdDateTime": "2023-09-17T15:31:12Z",
"systemSellPrice": 215,
"systemBuyPrice": 215,
"priceDerivationCode": "P",
"netImbalanceVolume": 291.9136,
"totalAcceptedOfferVolume": 790.6547,
"totalAcceptedBidVolume": -738.74115,
"totalAdjustmentBuyVolume": 240,
"totalSystemTaggedAcceptedOfferVolume": 789.6547,
"totalSystemTaggedAcceptedBidVolume": -738.74115,
"totalSystemTaggedAdjustmentBuyVolume": 240
}
],
"metadata": {
"datasets": [
"DATASET"
]
}
}