Brian M. Zimmet

Brian M. Zimmet

Energy Law

0.0 (0 reviews)
Washington, District of Columbia
30+ years experience
Rock Creek Energy Group LLP
Updated:

Contact Information

One Thomas Circle NW, Suite 700, P.O. Box 96503, PMB 47433, Washington, DC 20090-6503
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Bio

Brian has been an energy regulatory practitioner for more than two decades, with a focus on Federal Energy Regulatory Commission (FERC) regulation under Part II of the Federal Power Act (FPA), the Public Utility Regulatory Policies Act of 1978, and the Public Utility Holding Company Act of 2005.Brian’s legal experience extends to almost all aspects of federal regulation of the electric industry, including cost-of-service and market-based rates, open access transmission rules and policies, rules governing the operation of organized electricity markets (including energy and ancillary service market operations, forward capacity markets and associated mitigation, and transmission rights), transmission planning, generator and transmission interconnections, FPA section 203 applications, rules governing affiliate relationships and transactions, electric reliability matters, qualifying facility (QF) certifications and associated regulatory exemptions, QF legally enforceable obligations and avoided cost issues, formula rates, and cost-of-service ratemaking issues (including return on equity issues, allowance for funds used during construction and construction work in progress rules, depreciation issues, and incentive rates).Brian has extensive experience working on behalf of public utility holding companies, load-serving public utilities, independent generators, ISOs/RTOs, merchant transmission developers, private equity investors in the electric industry, and tax equity investors. Brian’s work for these entities has included both counseling, and representation before FERC, the Department of Energy, and Federal Courts. Brian has been an energy regulatory practitioner for more than two decades, with a focus on Federal Energy Regulatory Commission (FERC) regulation under Part II of the Federal Power Act (FPA), the Public Utility Regulatory Policies Act of 1978, and the Public Utility Holding Company Act of 2005.Brian’s legal experience extends to almost all aspects of federal regulation of the electric industry, including cost-of-service and market-based rates, open access transmission rules and policies, rules governing the operation of organized electricity markets (including energy and ancillary service market operations, forward capacity markets and associated mitigation, and transmission rights), transmission planning, generator and transmission interconnections, FPA section 203 applications, rules governing affiliate relationships and transactions, electric reliability matters, qualifying facility (QF) certifications and associated regulatory exemptions, QF legally enforceable obligations and avoided cost issues, formula rates, and cost-of-service ratemaking issues (including return on equity issues, allowance for funds used during construction and construction work in progress rules, depreciation issues, and incentive rates).Brian has extensive experience working on behalf of public utility holding companies, load-serving public utilities, independent generators, ISOs/RTOs, merchant transmission developers, private equity investors in the electric industry, and tax equity investors. Brian’s work for these entities has included both counseling, and representation before FERC, the Department of Energy, and Federal Courts. Brian has been an energy regulatory practitioner for more than two decades, with a focus on Federal Energy Regulatory Commission (FERC) regulation under Part II of the Federal Power Act (FPA), the Public Utility Regulatory Policies Act of 1978, and the Public Utility Holding Company Act of 2005.Brian’s legal experience extends to almost all aspects of federal regulation of the electric industry, including cost-of-service and market-based rates, open access transmission rules and policies, rules governing the operation of organized electricity markets (including energy and ancillary service market operations, forward capacity markets and associated mitigation, and transmission rights), transmission planning, generator and transmission interconnections, FPA section 203 applications, rules governing affiliate relationships and transactions, electric reliability matters, qualifying facility (QF) certifications and associated regulatory exemptions, QF legally enforceable obligations and avoided cost issues, formula rates, and cost-of-service ratemaking issues (including return on equity issues, allowance for funds used during construction and construction work in progress rules, depreciation issues, and incentive rates).Brian has extensive experience working on behalf of public utility holding companies, load-serving public utilities, independent generators, ISOs/RTOs, merchant transmission developers, private equity investors in the electric industry, and tax equity investors. Brian’s work for these entities has included both counseling, and representation before FERC, the Department of Energy, and Federal Courts.

Practice Areas

Energy Law

Awards & Recognition

  • Recognized: Energy Law
  • Recognized: Energy Regulatory Law

Recognized in Best Lawyers since 2015

Education

  • University of Virginia, J.D., graduated 1995

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