TSP Name:
Perryville Gas Storage LLC
TSP:
829608368
Transactional Reporting - Detail
Show Codes Only
General Information
Transportation Service Provider Name
Perryville Gas Storage LLC
Transportation Service Provider
829608368
Posting Type
Capacity Release
Amendment Reporting Description
All Data
Contract Status Description
Amended
Contract Holder Name
J.P. Morgan Ventures Energy Corporation
Contract Holder
602667201
Affiliate Indicator Description
None
Offer Number
2022.12.20.125510
Releaser Name
JPMorgan Chase Bank, N.A.
Releaser
006981831
Posting Date
May 5, 2023
Posting Time
11:06 AM
Allowable Re-release Indicator
Y
Business Day Indicator
N
IBR Index-Based Capacity Release Indicator
N
Permanent Release Indicator Description
Capacity is being permanently released
Prearranged Deal Indicator Description
Offer is subject to a prearranged deal
Previously Released Indicator Description
Offer does not contain any capacity which was previously released.
Recall/Reput Indicator Description
Recall/Reput Terms
Right to Amend Primary Points Indicator Description
No
Right to Amend Primary Points Terms
Market-Based Rate Indicator
Yes
Contract Information
Service Requester Contract
JPV01248CRS
Releaser Contract Number
JPM01163S
Contract Begin Date
April 1, 2023
Contract End Date
March 31, 2028
Contract Entitlement Begin Date
April 1, 2023
Contract Entitlement Begin Time
09:00 AM
Contract Entitlement End Date
April 1, 2028
Contract Entitlement End Time
09:00 AM
Seasonal Start Date
Seasonal End Date
Rate Form/Type Code Description
Blended rate (combination of reservation and volumetric charges)
Reservation Rate Basis Description
Per month
Contractual Quantity - Contract
1,000,000
Location/Quantity Type Indicator Description
Storage quantity
Rate Schedule
FSS
Rate Reporting Level Description
Contract
Surcharge Indicator Description
Rate(s) stated include all applicable surcharges; no surcharge detail or surcharge total provided
Total Surcharges
Replacement Shipper Role Indicator
Asset Management Arrangement
Storage Inventory-Conditioned Release Indicator
No
Recall Notification Period Indicator - Timely
Y
Recall Notification Period Indicator - Early Evening
N
Recall Notification Period Indicator - Evening
N
Recall Notification Period Indicator - Intraday 1
N
Recall Notification Period Indicator - Intraday 2
N
Recall Notification Period Indicator - Intraday 3
N
Authorized Injection Overrun
Rate Identification Code Description
Storage Charge - Injection Overrun
Rate Charged - Non-IBR
0.03
Rate Location
Columbia Gulf Mainline
Maximum Tariff Rate
N/A
Maximum Tariff Rate Reference Description
Not Applicable
Discount Begin Date
May 6, 2023
Discount End Date
May 8, 2023
Surcharge Identification Code Description
Authorized Injection Overrun
Rate Identification Code Description
Storage Charge - Injection Overrun
Rate Charged - Non-IBR
0.03
Rate Location
EGT Line CP at CGS
Maximum Tariff Rate
N/A
Maximum Tariff Rate Reference Description
Not Applicable
Discount Begin Date
May 6, 2023
Discount End Date
May 8, 2023
Surcharge Identification Code Description
Authorized Injection Overrun
Rate Identification Code Description
Storage Charge - Injection Overrun
Rate Charged - Non-IBR
0.03
Rate Location
Gulf Run
Maximum Tariff Rate
N/A
Maximum Tariff Rate Reference Description
Not Applicable
Discount Begin Date
May 6, 2023
Discount End Date
May 8, 2023
Surcharge Identification Code Description
Authorized Injection Overrun
Rate Identification Code Description
Storage Charge - Injection Overrun
Rate Charged - Non-IBR
0.03
Rate Location
Perryville_Gas_Storage_Hub
Maximum Tariff Rate
N/A
Maximum Tariff Rate Reference Description
Not Applicable
Discount Begin Date
May 6, 2023
Discount End Date
May 8, 2023
Surcharge Identification Code Description
Special Terms & Miscellaneous Notes
This release is made pursuant to an asset management arrangement between the releasing shipper and the replacement shipper. Please note that the capacity release rate posted may not be reflective of the actual asset management compensation arrangements between the releasing shipper and the replacement shipper. 100% of Demand dollars (per month) will be paid by JPMorgan Chase Bank, N.A. The commodity rate and fuel and overrun will be paid by J.P. Morgan Ventures Energy Corporation. All inventory will be in J.P. Morgan Ventures Energy Corporation’s name unless instructed otherwise. Transactions may be subject to ACA charges.
Special Terms and Miscellaneous Notes - AMA Obligations
Releasing Shipper may call upon replacement shipper to deliver up to 100% of MDQ per day for term of the release. This release is made pursuant to an asset management arrangement between the releasing shipper and the replacement shipper.
Special Terms and Miscellaneous Notes - Storage Inventory Conditions
None
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