The financial risk generated by unbalancing cannot be controlled solely by improving consumption or production forecasts. Specific risk management techniques must be prepared which also take into consideration the parameters that regulate the economic value of the imbalance.
The forecasts that help to assess the impact of the imbalance in advance are:

  • the prediction of imbalance signs
  • the forecast of imbalance volumes
  • the forecast of imbalance penalties

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The best forecasts to manage the risk of imbalance ultima modifica: 2019-04-03T11:18:54+02:00 da mparlanti@mbi