Abstract

AbstractElectricity distribution companies manage financial resources to maximize profits. While the stability of the electricity distribution system depends on the efficiency of the resources used by this system. The regulator is responsible for balancing and aligning the stability of the electricity industry with the profits of electricity distribution companies, which does so by adjusting penalty indices and service rates. This article investigates the management indicators of the electricity distribution industry and how to spend each of them is studied by electricity distribution companies and provides a model that can guide the optimization of the division of financial resources and investment between the indicators. Adjust indicators for regulators to align the benefits and profits of electricity distribution companies with the stability of the electricity distribution system. The implementation of this model was observed in Bushehr Electricity Distribution Company and increased the efficiency percentage.

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