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Commission Implementing Regulation (EU) No 1348/2014Show full title

Commission Implementing Regulation (EU) No 1348/2014 of 17 December 2014 on data reporting implementing Article 8(2) and Article 8(6) of Regulation (EU) No 1227/2011 of the European Parliament and of the Council on wholesale energy market integrity and transparency (Text with EEA relevance)

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ANNEXU.K.DETAILS OF REPORTABLE CONTRACTS

Table 1

Reportable details of standard contracts for the supply of electricity and gas

(Standard reporting form)

Field NoField IdentifierDescription
Parties to the contract
1ID of the market participant or counterpartyThe market participant or counterparty on whose behalf the record of transaction is reported shall be identified by a unique code.
2Type of code used in field 1ACER registration code, Legal Entity Identifier (LEI), Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1).
3ID of the trader and/or of the market participant or counterparty as identified by the organised market placeThe login username or trading account of the trader and/or the market participant or counterparty as specified by the technical system of the organised market place.
4ID of the other market participant or counterpartyUnique identifier for the other counterparty of the contract.
5Type of code used in field 4ACER registration code, Legal Entity Identifier (LEI), Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1).
6Reporting entity IDID of the reporting entity.
7Type of code used in field 6ACER registration code, Legal Entity Identifier (LEI), Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1).
8Beneficiary IDIf the beneficiary of the contract as referred in Article 8(1) of Regulation (EU) No 1227/2011 is counterparty to this contract the field is to be left blank. If the beneficiary of the contract is not counterparty to this contract the reporting counterparty has to identify the beneficiary by a unique code.
9Type of code used in field 8ACER registration code, Legal Entity Identifier (LEI), Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1).
10Trading capacity of the market participant or counterparty in field 1Identifies whether the reporting counterparty has concluded the contract as principal on own account (on own behalf or behalf of a client) or as agent for the account of and on behalf of a client.
11Buy/sell indicatorIdentifies whether the contract was a buy or sell for the market participant or counterparty identified in field 1.
12Initiator/AggressorWhen the trade is executed on an electronic or voice assisted broker platform, the initiator is the party who first placed the firm order in the market and the aggressor is the party that initiates the transaction.
Order details
13Order IDThe order shall be identified by using a unique code identifier provided by the market place or counterparties.
14Order typeThe type of order as defined by the functionality offered by the organised market place.
15Order conditionA special condition for the order to execute.
16Order statusThe status of the order, for example if order is active or deactivated.
17Minimum execution volumeMinimum Execution Volume — The quantity/volume of any defined minimum execution.
18Price limitThe defined price of the limit for the trigger or stop loss order.
19Undisclosed volumeThe volume that is not disclosed to the market for the order.
20Order durationThe order duration is the time for which the order exists within the system until it is removed/cancelled unless it is executed.
Contract details
21Contract IDThe contract shall be identified by using a unique code identifier provided by the market place or counterparties.
22Contract nameThe name of the contract as identified by the organised market place.
23Contract typeThe type of the contract.
24Energy commodityThe classification of the energy commodity.
25Fixing index or reference priceFixing index that sets the price for the contract or the reference price for derivatives.
26Settlement methodWhether the contract is settled physically, in cash, optional or other.
27Organised market place ID/OTCIn case the market participant uses an organised market place to execute the contract, this organised market place shall be identified by a unique code.
28Contract trading hoursThe trading hours of the contract.
29Last trading date and timeThe last trading date and time for the reported contract.
Transaction details
30Transaction timestampThe date and time of the contract execution or order submission, or their modification, cancellation or termination.
31Unique transaction IDUnique identifier for a transaction as assigned by the organised market place of execution, or by the two market participants in case of bilateral contracts to match the two sides of a transaction.
32Linked transaction IDThe linked transaction identifier must identify the contract that is associated with the execution.
33Linked order IDThe linked order identifier must identify the order that is associated with the execution.
34Voice-brokeredIndicates whether the transaction was voice brokered, ‘Y’ if it was, left blank if it was not.
35PriceThe price per unit.
36Index valueThe value of the fixing index.
37Price currencyThe manner in which the price is expressed.
38Notional amountValue of the contract.
39Notional currencyThe currency of the notional amount.
40Quantity/VolumeTotal number of units included in the contract or order.
41Total notional contract quantityThe total number of units of the wholesale energy product.
42Quantity unit for field 40 and 41The unit of measurement used for fields 40 and 41.
43Termination dateTermination date of the reported contract. If not different from delivery end date, this field shall be left blank.
Option details
44Option styleIndicates whether the option may be exercised only at a fixed date (European and Asian style), a series of pre-specified dates (Bermudan) or at any time during the life of the contract (American style).
45Option typeIndicates whether the option is a call, put or other.
46Option exercise dateThe date or dates when the option is exercised. If more than one, further fields may be used.
47Option strike priceThe strike price of the option.
Delivery profile
48Delivery point or zoneEIC code(s) for the delivery point(s) or market area(s).
49Delivery start dateStart date of delivery.
50Delivery end dateEnd date of delivery.
51DurationThe duration of the delivery period.
52Load typeIdentification of the delivery profile (base load, peak load, off-peak, block of hours or other)
53Days of the weekThe days of the week of the delivery
54Load delivery IntervalsTime interval for each block or shape.
55Delivery capacityThe number of units included in the transaction, per delivery time interval.
56Quantity unit used in field 55The unit of measurement used.
57Price/time interval quantityIf applicable price per quantity per delivery time interval.
Lifecycle information
58Action type

When the report contains:

  • a contract or an order to trade for the first time, it will be identified as ‘new’;

  • a modification of details of a previous report, it will be identified as ‘modify’;

  • a cancellation of a wrongly submitted report, it will be identified as ‘error’;

  • a termination of an existing contract or order to trade, it will be identified as ‘cancel’;

Table 2

Reportable details of non-standard contracts for the supply of electricity and gas

(Non-standard reporting form)

Field No.Field IdentifierDescription
Parties to the contract
1ID of the market participant or counterpartyThe market participant or counterparty on whose behalf the record of transaction is reported shall be identified by a unique code.
2Type of code used in field 1ACER registration code, Legal Entity Identifier (LEI),Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1)
3ID of the other market participant or counterpartyUnique identifier for the other counterparty of the contract.
4Type of code used in field 3ACER registration code, Legal Entity Identifier (LEI),Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1)
5Reporting entity IDID of the reporting entity.
6Type of code used in field 5ACER registration code, Legal Entity Identifier (LEI),Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1)
7Beneficiary IDIf the beneficiary of the contract as referred in Article 8(1) of Regulation (EU) No 1227/2011 is counterparty to this contract the field is to be left blank. If the beneficiary of the contract is not counterparty to this contract the reporting counterparty has to identify the beneficiary by a unique code.
8Type of code used in field 7ACER registration code, Legal Entity Identifier (LEI),Bank Identifier Code (BIC), Energy Identification Code (EIC), Global Location Number (GLN/GS1)
9Trading capacity of the market participant or counterparty in field 1Identifies whether the reporting counterparty has concluded the contract as principal on own account (on own behalf or behalf of a client) or as agent for the account of and on behalf of a client.
10Buy/sell indicatorIdentifies whether the contract was a buy or sell for the market participant or counterparty identified in field 1.
Contract details
11Contract IDUnique identifier for the contract as assigned by the two market participants.
12Contract dateThe date the contract was agreed or its modification, cancellation or termination.
13Contract typeThe type of contract.
14Energy commodityThe classification of the energy commodity for the agreed contract.
15Price or price formulaFixed price or price formula used in the contract.
16Estimated notional amountEstimated notional amount of the contract (if applicable).
17Notional currencyThe currency of the estimated notional amount.
18Total notional contract quantityThe estimated total number of units of the wholesale energy product. This is a calculated figure.
19Volume optionality capacityThe number of units included in the contract, per delivery time interval if available.
20Notional quantity unitThe unit of measurement used in fields 18 and 19.
21Volume optionalityThe volume classification.
22Volume optionality frequencyThe frequency of the volume optionality: e.g. daily, weekly, monthly, seasonal, annual or other, if available.
23Volume optionality intervalsTime interval for each volume optionality if available.
Fixing index details
24Type of index pricePrice classified as fixed, simple index (single underlying) or complex price formula (multiple underlying).
25Fixing indexList of indices determining the price in the contract. For each Index specify the name. In case of a basket of indices for which no unique identifier exist the basket or the index shall be indicated.
26Fixing index typesSpot, forward, swap, spread, etc.
27Fixing index sources

For each index specify the publication source.

In case of basket of indices for which no unique identifier exist the basket or the index shall be indicated.

28First fixing dateFirst fixing date determined by the earliest date of all the fixings.
29Last fixing dateLast fixing date determined by the latest date of all the fixings.
30Fixing frequencyThe frequency the fixing: e.g. daily, weekly, monthly, seasonal, annual or other.
31Settlement methodWhether the contract is settled physically, in cash, both, optional or other.
Option details
32Option styleIndicates whether the option may be exercised at a fixed date (European and Asian style), a series of pre-defined dates (Bermudan) or at any time during the life of the contract (American).
33Option typeIndicates whether the option is a call, put or other.
34Option first exercise dateFirst exercise date determined by the earliest date of all the exercises.
35Option last exercise dateLast exercise date determined by the latest date of all the exercises.
36Option exercise frequencyThe frequency of the Volume optionality: e.g. daily, weekly, monthly, seasonal, annual or other.
37Option strike indexFor each Index specify the name. In case of a basket of indices for which no unique identifier exist the basket or the index shall be indicated.
38Option strike index typeSpot, forward, swap, spread, etc.
39Option strike index sourceFor each index specify the fixing type. In case of a basket of indices for which no unique identifier exist the basket or the index shall be indicated.
40Option strike priceThe strike price of the option.
Delivery profile
41Delivery point or zoneEIC code(s) for the delivery point(s) or market area(s).
42Delivery start dateStart date and time of delivery. For physically delivered contracts this would be the delivery start date of the contract.
43Delivery end dateEnd date and time of delivery. For physically delivered contracts this would be the end delivery date of the contract.
44Load typeIdentification of the delivery profile (base load, peak load, off-peak, block of hours or other).
Life cycle information
45Action type

When the report contains:

  • a contract reported for the first time, it will be identified as ‘new’;

  • a modification of details of a previously reported contract, it will be identified as ‘modify’;

  • a cancellation of a wrongly submitted report, it will be identified as ‘error’;

  • a termination of an existing contract, it will be identified as ‘cancel’.

Table 3

Reportable details of wholesale energy products in relation to the transportation of electricity — Primary allocation results and result of secondary market resale and transfer of long term transmission rights in electricity

Field NoField identifierDescription
Common data for total primary allocation results and secondary market resale and transfer rights and bid document
1.Document identificationUnique identification of the document for which the time series data is being supplied.
2.Document versionVersion of the document being sent. A document may be sent several times, each transmission being identified by a different version number that starts at 1 and increases sequentially.
3.Document typeThe coded type of the document being sent.
4.Sender identificationIdentification of the party that is the sender of the document and is responsible for its content (EIC code).
5.Sender roleIdentification of the role that is played by the sender, e.g. TSO other reporting entity.
6.Receiver identificationIdentification of the party who is receiving the document.
7.Receiver roleIdentification of the role played by the receiver.
8.Creation date and timeDate and time of the creation of the document, e.g. when the TSO or other reporting entity sends the transaction to the Agency.
9.Bid time interval/applicable time intervalThe beginning and ending date and time of the period covered by the document.
10DomainThe domain covered within the document.
11.Document status (if applicable)Identifies the status of the document.
Capacity allocation time series (for primary allocation)
12.Time series identificationThe identification that uniquely identifies the time series.
13.Bid document identificationThe identification of the document in which the bids or resale references are contained.
14.Bid document versionVersion of the bid or resale document having been sent.
15.Bid identification

The identification of the time series that was used in the original bid or resale.

This is the unique number that is assigned by the bidder when they made their original bid or resale. Left blank if not applicable.

16.Bidding partyIdentification of the market participant who bid for the capacity or resold capacity (EIC X Code).
17.Auction identificationThe identification linking the allocation to a set of specifications created by the auction operator.
18.Business typeIdentifies the nature of the time series.
19.In areaThe area where the energy is to be delivered (EIC Y Code).
20.Out areaThe area where the energy is coming from (EIC Y Code).
21.Contract typeThe contract type defines the conditions under which the capacity was allocated and handled, e.g. daily auction, weekly auction, monthly auction, yearly auction, long term contract, etc.
22.Contract identificationThe contract identification of the time series instance. This must be a unique number that is assigned by the auction operator and shall be used for all references to the allocation.
23.Measure unit quantityThe unit of measure in which the quantity in the time series is expressed.
24.Currency (if applicable)The currency in which the monetary amount is expressed.
25.Measure unit price (if applicable)The unit of measure in which the price in the time series is expressed.
26.Curve type(if applicable)Describes the type of the curve that is being provided for the time series in question, e.g. variable sized block or fixed sized block or point.
27.Classification category (if applicable)The category of the product as defined by the market rules.
No-Bid auction time series (for primary allocation)
28.IdentificationThe identification of a time series instance.
29.Auction identificationThe identification of the auction where no bids have been received.
30.Classification category (if applicable)The category of the product as defined by the market rules.
Secondary rights time series (for secondary rights)
31.Time series identification

The identification of the time series instance.

This must be a unique number that is assigned by the sender for each time series in the document.

32.Business typeIdentifies the nature of the time series, e.g. capacity rights, capacity transfer notification, etc.
33.In areaThe area where the energy is to be delivered (EIC Y Code).
34.Out areaThe area where the energy is coming from (EIC Y Code).
35.Rights holderIdentification of the market participant who is owner of, or has the right to use, the transmission rights in question (EIC X Code).
36.Transferee party (if applicable)Identification of the market participant to whom the rights are being transferred or the interconnection trade responsible designated by the transferor (as designated in the rights holder attribute) to use the rights (EIC X code).
37.Contract identificationThe contract identification of the time series instance. This must be the number that has been assigned by the transmission capacity allocator e.g. TSO or auction operator, or allocation platform.
38.Contract typeThe contract type defines the conditions under which the rights were allocated and handled, e.g. daily auction, weekly auction, monthly auction, yearly auction, etc.
39.Previous contract identification (if applicable)The identification of a previous contract used to identify the transfer rights.
40.Measure unit quantityThe unit of measure in which the quantity in the time series is expressed.
41.Auction identification (if applicable)The identification linking the capacity rights to a set of specifications created by the transmission capacity allocator e.g. TSO or auction operator or allocation platform.
42.Currency (if applicable)The currency in which the monetary amount is expressed.
43.Measure unit price (if applicable)The unit of measure in which the price in the time series is expressed.
44.Curve type (if applicable)Describes the type of the curve that is being provided for the time series in question, e.g. variable sized block or fixed sized block or point.
Period for primary allocation and secondary processes
45.Time intervalThis information provides the date and time of the start and end of the reported period.
46.ResolutionThe resolution defining the number of periods that the time interval is divided (ISO 8601).
Interval for primary allocation and secondary processes
47.PositionThe relative position of a period within an interval.
48.QuantityThe quantity that has been allocated in the primary auction. The quantity that has been assigned to the nomination party for secondary rights.
49.Price amount (if applicable)The price expressed for each unit of quantity allocated through the primary allocation. The price expressed for each unit of quantity resold or transferred on the secondary market if applicable.
50.Bid quantity (if applicable)The quantity that was in the original bid document.
51.Bid price amount (if applicable)The original price expressed in the original bid or resale for each unit of quantity requested.
Reason for primary allocation and secondary processes
52.Reason code (if applicable)A code providing the status of the allocation or the rights.
53.Reason text (if applicable)Textual explanation of the reason code.
Bid header document and bid document fields for organised market places (applicable for secondary trading)
54.Subject partyThe market participant for whom the bid is being submitted (EIC code).
55.Subject roleThe role of the subject party.
56.DivisibleAn indication whether or not each element of the bid may be partially accepted or not.
57.Linked bids identification (if applicable)Unique identification associated with all linked bids.
58.Block bidAn indication that the values in the period constitute a block bid and that they cannot be changed.

Table 4

Reportable details of wholesale energy products in relation to the transportation of gas — Primary and secondary capacity allocations for gas

Field NoField identifierDescription
Common data for primary and secondary allocation processes
1.Sender identificationIdentification of the party that is the owner of the document and is responsible of its content.
2.Organised market place identificationIdentification of organised market place.
3.Process identificationThe identification of the auction or other process as defined by the capacity allocating entity.
4.Type of gasIdentifies the type of gas.
5.Transportation transaction identificationA uniquely assigned identification number for the capacity allocation as assigned by the organized market place or TSO.
6.Creation date and timeCreation date and time of the transaction.
7.Auction open date/timeThe date and time when an auction opens for bidding.
8.Auction end date/timeThe date and time when an auction closes.
9.Transportation transaction TypeThe type identifies the nature of transportation transaction to be reported in accordance with current applicable industry standards as specified by gas network code on Interoperability and data exchange.
10.Start date and timeDate and time of the start of the transportation transaction runtime.
11.End date and timeDate and time of the end of the transportation transaction runtime.
12.Offered capacityThe quantity of capacity available in the auction expressed in the measure unit. Only relevant for bidding behaviour monitoring.
13.Capacity categoryApplicable capacity category.
Data for lifecycle reporting
14.Action typeStatus code of the report to be reported in accordance with current applicable industry standards as specified in gas network code on Interoperability and data exchange.
Data for quantity and price reporting
15.QuantityTotal number of units allocated with the transportation transaction as expressed in the measure unit.
16.Measure unitThe unit of measurement used.
17.CurrencyThe currency in which the monetary amount is expressed.
18.Total priceReserve price at time of the auction plus auction premium or regulated tariff in case of other allocation mechanism than auction.
19.Fixed or floating reserve priceIdentification of the type of the reserve price.
20.Reserve priceThe identification of the reserve price for the auction.
21.Premium priceThe identification of the premium price for the auction.
Data for identification of location and market participant
22.Network point identificationWithin a network system according to the EIC code.
23.BundlingSpecification of bundling.
24.DirectionSpecification of direction.
25.TSO 1 identificationThe identification of the TSO for which the data reporting is made.
26.TSO 2 identificationThe identification of the counter TSO.
27.Market participant identificationThe market participant to which the capacity is assigned.
28.Balancing group or portfolio codeThe balancing group (or balancing groups in case of bundled products) to which the shipper belongs or the portfolio code used by the shipper if a balancing group is not applicable.
Data applicable only for secondary allocations
29.Procedure applicableSpecification of procedure applicable.
30.Maximum bid amountThe maximum the transferee would be willing to offer, expressed in the currency per measure unit.
31.Minimum bid amountThe minimum the transferor would be willing to offer, expressed in the currency per measure unit.
32.Maximum quantityThe maximum the transferee/transferor would be willing to acquire/sell on creating the trade proposal.
33.Minimum quantityThe minimum the transferee/transferor would be willing to acquire/sell on creating the trade proposal.
34.Price paid to TSO (Underlying price)Only applicable when there is an assignment expressed in the currency per measure unit which must be kWh/h.
35.Price the transferee pays to the transferorPrice the transferee pays to the transferor expressed in the currency per measure unit which must be kWh/h.
36.Transferor identificationThe market participant giving up the capacity.
37.Transferee identificationThe market participant receiving the capacity.
Data fields applicable only for orders placed at auctions for primary allocations
38.Bid IDNumerical identifier of the bid as assigned by the reporting entity.
39.Auction round numberAn integer that increments every time an auction achieves no result and is re-run with different parameters — starting at 1. To be left blank in case of auctions without binding rounds, e.g. day-ahead auctions.
40.Bid priceThe price bid for each unit of capacity excluding the reserve price. Expressed in the currency and measure unit.
41.Bid quantityThe quantity being bid for expressed in the measure unit.

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