Western Australian Consolidated Regulations[r. 13]
[Heading inserted in Gazette 25 May 2010
p. 2272.]
1. Information relating to previous consumption,
production, processing, storage, transportation, sale, supply, delivery or
receipt of energy by the person or occupier.
2. Information relating to forecast consumption,
production, processing, storage, transportation, sale, supply, delivery or
receipt of energy by the person or occupier.
3. Information relating to wholesale or retail
arrangements for the importation, production, processing, storage,
transportation, sale, supply, delivery or receipt of energy by the person or
occupier including information in respect of the following —
(a) the
parties to those arrangements;
(b)
principles and processes relating to those arrangements and changes to those
arrangements;
(c)
actual and contracted quantities of energy imported, produced, processed,
stored, transported, sold, supplied, delivered or received under those
arrangements;
(d)
pricing and the calculations or processes underlying price movements, but only
if the person or occupier is —
(i)
a licensee under the Act; or
(ii)
a licensee under the Electricity Industry Act 2004 ;
or
(iii)
a licensee under the Petroleum Pipelines Act 1969 ;
or
(iv)
a body established by the Electricity Corporations
Act 2005 section 4(1) or a subsidiary of such a body under that Act;
or
(v)
a person who is exempt under section 11H(1) of the
Act from section 11G(2) of the Act; or
(vi)
a person who is exempt under the Electricity Industry
Act 2004 section 8(1) from section 7(4) of that Act and who
sells electricity to at least one customer who consumes not more than
160 MWh of electricity per annum;
(e) the
content of contracts forming part of, or relating to, those arrangements;
(f)
operating costs associated with, and assets utilised under, those
arrangements.
4. Information relating to disruptions to the
production, processing, storage, transportation, sale, supply, delivery or
receipt of energy by the person or occupier including information in respect
of the following —
(a) the
nature, cause and sequence of events giving rise to a disruption;
(b) the
nature and timing of communications relating to a disruption;
(c) the
trading arrangements that apply during a disruption and the subsequent
recovery period including —
(i)
arrangements as to the allocation of energy,
transportation capacity and storage capacity; and
(ii)
pricing and the calculations or processes underlying
price movements;
(d) the
actual or estimated financial impact of a disruption.
5. Information relating to energy infrastructure
owned or operated, or proposed to be owned or operated, by the person or
occupier including information in respect of the following —
(a) the
performance or anticipated performance of that infrastructure;
(b) the
content of contracts relating to the performance of that infrastructure;
(c) the
age, size and capacity of that infrastructure;
(d)
operational arrangements including —
(i)
arrangements as to redundancy or partial production
capability of that infrastructure; and
(ii)
arrangements designed to maintain and enhance the
reliability of that infrastructure;
(e)
costs associated with the acquisition, planning, construction, operation and
maintenance of that infrastructure;
(f)
asset management arrangements;
(g) the
reliability of that infrastructure including —
(i)
details and history of service interruptions or
reductions; and
(ii)
anticipated future capacity and reliability.
6. Information relating to an energy resource or
reserve under the control of the person or occupier including information in
respect of the following —
(a) the
quality of that resource or reserve;
(b) the
anticipated amount of energy recoverable from that resource or reserve.
7. Information relating to the emission of
greenhouse gases from premises owned or occupied by the person or occupier.
[Schedule 1 inserted in Gazette 25 May 2010 p.
2272-4.]