American Midstream (Midla), LLC

Sixth Revised Volume No. 1

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Effective Date: 05/01/2010, Docket: RP10-483-000, Status: Effective

Original Sheet No. 148A Original Sheet No. 148A


(b) Winter Period (November - March) Imbalances - Provided that Customer has not

been notified by Pipeline that its imbalances are creating an operation problem on its

system, and the continuation of the imbalance is endangering service to other

Customers, and Customer is not able to trade its imbalance pursuant to the provisions of

Pipeline's imbalance netting and trading service as provided under Paragraph 14.7 hereof

and Pipeline and the Customer have not mutually agreed to an alternate method, Pipeline

and Customer shall Cash-out any imbalance between deliveries and scheduled

nominations at the Delivery Point(s) as provided under Section 14.7 hereof. Pipeline

shall divide the monthly imbalance by the sum of all scheduled nominations for all Days

of the Month for each Delivery Point(s) to determine the percentage monthly Imbalance

for the purpose of the Cash-Out as set forth hereinafter,