Asset Optimization & Trading
Consisting of 3 sub teams: Asset Optimization, Trading and Shift Trading:
Asset Optimization creates value to our portfolio by optimizing contracts. Predictions of customer demand, wind and solar production, are used as input for the daily optimization of our portfolio. In addition, they also manage the contracts that PZEM has with the assets. This involves, amongst others, analyzing investments, optimizations, and maintenance plans.
Trading is responsible for hedging and optimizing the portfolio through long-term contract trading, within the established risk limits and according to approved lock-in strategies. The focus is on gas, electricity and CO2, which are hedged to cover the portfolio. This includes hedging the B2B portfolio.
Shift Trading is responsible for optimizing the electricity and gas portfolio in the short-term intraday and imbalance markets. Shift Trading balances this portfolio continuously and 24/7. This is done by trading on the trading market or by increasing or decreasing an asset.
Alex Halsema - Teamlead Asset Optimization at PZEM
Do you want more information about the topics or do you want to get in touch with us or Alex click on the button below. He will also be present at E-world from February 20th to 22nd, where PZEM will also have a booth.