Thanks. Regarding point (2) how is the Profile bucketing handled? In other words, why the expected inventory level at the expriation of the storage contract is displayed in the bucket where the first imbalance appeared (in my example above, this would be January). This is then treated by PnL Detail as a realized. Even if there is some gas in storage during the lifetime of the deal, it is certainly not intuitive to treat the entire expected inventory at the end of the contract as realized.
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