All,

Clarification on new findings statements below:  trading minute and trade
interval are the same thing.  So,

  -- If an  exception occurs at trading minute level, the volume usage at
trade hour level is used to do pro-rata
  -- If an  exception occurs at trading hour level, the volume usage at
trade date level  is used to do pro-rata

Caroline




 (Embedded     Enron Capital & Trade Resources Corp.
 image moved
 to file:      From:  "xiaoming ding"
 pic05973.pcx) <xiaoming.ding@razorfish.com>
               04/19/2001 04:38 PM






To:   "Enron VMS" <enron-la@razorfish.com>
cc:
Subject:  Status of 4/19



Hi,

* Settlement TAG related change in vmsinterface COM  and vms_context 100%
* Estimation COM integrated into settlement process  100%
* Discuss allocation rule with TJ
* Allocation result storing into DB 30%  (task  # 327)
    New findings with "deviation  allocation" (402, 403, 404, 405, 407)
       -- If an  exception occurs at trading minute level, the volume usage
at trade interval  level is used to do pro-rata
       -- If an  exception occurs at trading interval level, the volume
usage at trade date level  is used to do pro-rata

TODO:
* Exception detecting design review with Anna ( new task as on last  status
report)
* Allocation result storing into DB 30%  (task  # 327)

Xiaoming Ding


 - pic05973.pcx