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Risk-based method for distribution system reliability investment decisions under performance-based regulation

机译:基于绩效的监管下基于风险的配电系统可靠性投资决策方法

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摘要

In the re-regulated electricity market, there is a growing interest in performance-based regulation accompanied by quality regulation for electric distribution networks. This study develops a new risk-based method for reliability investment decisions when the distribution system operator (DSO) is exposed to financial risks defined by a quality regulation. As quality regulation design becomes more complex, more detailed risk management methods are needed in order to adequately capture the financial risk the DSO is exposed to. The proposed method applies the Monte-Carlo simulation technique in order to assess the risks of the considered reinvestment projects. By using the proposed method, the impacts that different risk strategies (risk-neutral/risk-averse) and risk models (non-time-varying/time-varying) have on which reinvestment project is selected is investigated in a case study. This is investigated for two different quality regulation designs. The results show that primarily not only the quality regulation design but also the risk model formulation and risk strategy have a major impact on which reinvestment project is selected.
机译:在重新监管的电力市场中,人们越来越关注基于性能的监管以及配电网络的质量监管。当配电系统运营商(DSO)面临由质量法规定义的财务风险时,本研究开发了一种基于风险的新方法来进行可靠性投资决策。随着质量法规设计变得越来越复杂,需要更详细的风险管理方法以充分捕获DSO所面临的财务风险。所提出的方法应用了蒙特卡洛模拟技术,以评估所考虑的再投资项目的风险。通过使用提出的方法,在案例研究中研究了不同的风险策略(中性风险/规避风险)和风险模型(非时变/时变)对选择再投资项目的影响。研究了两种不同的质量法规设计。结果表明,不仅质量法规设计而且风险模型制定和风险策略都对选择再投资项目有重大影响。

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