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July 2019 DashboardNote: All dollar figures presented are in millions of dollars. City of Denton, Texas FY 2018-19 Denton Energy Center YTD July 2019 Dashboard Key Trends (1)In July 2019, $474,509 was paid to COD self insurance fund for insurance on Denton Energy Center -The policy period is 5/25/2019 to 5/25/2020. (2)DEC Debt Service principal and interest payments will exceed budget by $9.1M this year in adherence to bond requirements. The variation does not change total debt service paid over the life of the bond, but does increase the FY 2018-19 debt service payment. (3)Includes $157,000 for rolling stock equipment and $140,000 for the purchase of shelving/racks/equipment in FY 2017-18. (4)Capital Charge Back represents capitalized expenses during construction and startup. The charge back was charged FY 2017-18 during construction and startup. Jul Aug Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Series1 1,481 1,539 1,033 1,633 1,433 466 752 923 1,458 1,336 2,116 1,370 2,232 1,481 1,539 1,033 1,633 1,433 466 752 923 1,458 1,336 2,116 1,370 2,232 0 500 1,000 1,500 2,000 2,500 Run HoursOperating Month Plant Monthly Run Hour Comparison Emissions July 2019 Description Engine Runtime (hours) Hot Starts Warm Starts Cold Starts Stops Description Nitrogen Oxides (NOx) Carbon Monoxide (CO) Volatile Organic Compound (VOC) Particulate Mater<10 microns (PM10) Particulate Mater<2.5 microns (PM2.5) Sulphur Dioxide (SO2) Ammonia (NH3) Carbon Dioxde Equivalents (CO2e) Engines (1-12)2,232 116 218 66 400 DEC Monthly Emissions Total (tons)1.68 1.50 1.39 1.30 1.30 0.02 0.33 15,359.00 DEC Annual Permit Limit Operations (tons)*29.78 93.52 48.16 69.72 69.72 1.45 60.90 Monthly Plant Emissions per DEC Permit Limit*5.65%1.61%2.88%1.87%1.87%1.55%0.54% Annual to Date Plant Emissions per DEC Permit Limit*36.50%11.20%16.90%9.50%9.50%8.20%2.40% *Operations Annual Limit accounts for Balance of Plant standard emissions FY 2017-18 FY 2018-19 FY 2018-19 FY 2018-19 ACTUALS BUDGET YTD PROJECTION DEC REVENUE* $ 11.88 $ 36.30 $ 12.09 $ 29.40 EXPENDITURE SUMMARY Energy Expense -Fuel $ 2.17 $ 14.97 $ 4.86 $ 14.71 Personal Services 0.91 1.87 1.39 1.85 Materials & Supplies 0.36 0.14 0.14 0.13 Maintenance & Repair 0.03 0.26 0.10 0.28 Insurance (1)0.44 0.45 0.49 0.49 Miscellaneous ---0.01 Operations 0.14 0.82 0.17 0.81 Debt Service -Principal (2)--4.78 5.97 Debt Service -Interest(2)-4.45 5.89 7.58 Interfund Transfers ---- Transfer to Capital Projects (3) 0.30 0.01 -0.01 DEC EXPENDITURES $ 4.35 $ 22.97 $ 17.82 $ 31.84 CAPITAL CHARGE BACK (4)$ (0.92)$ -$ -$ - DEC NET INCOME $ 8.45 $ 13.33 ($ 5.73)$ (2.44) *Preliminary, Unaudited Figures Generation & Gross Revenues Month Revenue (In Millions)MWh $/MWh Oct-18 $2.02 23,521 $85.77 Nov-18 $1.71 17,919 $95.16 Dec-18 $0.34 5,693 $59.61 Jan-19 $0.50 9,665 $51.80 Feb-19 $0.80 11,507 $69.79 Mar-19 $1.34 17,435 $76.77 Apr-19 $0.95 14,467 $65.97 May-19 $0.66 12,513 $52.41 Jun-19 $1.35 18,327 $73.81 Jul-19 $2.42 31,372 $77.29 Total FY 18-19 $12.09 162,419 $74.45