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Thanks for the feedback! The three tables have different unique indices or "keys":
We split the data into tables based on these indices to avoid empty or repeated data. We'll add some descriptions like you suggested, but understanding the tables and how the parameters relate to assets is something we need to explain better. What else do you think would help? |
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Why are there three asset tables? Could be useful to include a small description per table in the "Model Parameters" section of the docs. Diving into the column descriptions is challenging when you don't understand the general purpose of the table.
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