管理可调度分布式发电经济风险的金融工具

S. Karimi, A. Rajabi-Ghahnavieh, H. Azad
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引用次数: 0

摘要

分布式发电(DG)在过去十年中受到越来越多的关注。DG应用的优势和限制是DG业主和电力公司都知道的。DG机组有多种技术可供选择,其中燃气发电机组对投资者更具吸引力,因为该技术提供了对DG发电的控制。然而,与可调度DG单元相关的各种金融风险禁止对此类技术进行广泛的私人投资。本文探讨了使用金融工具来管理可调度的DG经济风险。提出了一个全面的框架,以考虑DG业主面临的各种经济风险。已使用适当的模型将风险管理工具,特别是金融工具纳入问题。基于条件风险值(CVaR)方法确定了风险管理工具的最佳使用。该方法已应用于一个测试用例,并验证了解决方案的有效性。
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Financial tools to manage dispatchable Distributed Generation economic risks
Distributed Generation (DG) has received increasing attention during the last decade. Advantage and constraints of DG application are well known to both DG owner and electric utility. Various technologies are available for DG units among them gas GenSet is, in particular, more attractive to the investors as the technology provides the control on DG generation. However, there are various financial risks associated with dispatchable DG units that prohibit wide private investment in such technologies. This paper examines the use of financial tools to manage dispatchable DG economic risks. A comprehensive framework has been proposed to consider various economic risks to DG owner. Suitable models have been used to incorporate risk management tools, in particular the financial tools, in the problem. Optimal use of risk management tools has been determined based on conditional value-at-risk (CVaR) approach. The proposed approach has been applied to a test case and the effectiveness of the solution has been verified.
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