AdhocReissuanceFundAllocationsInvestments
objectA unique identifier assigned to a specific fund account within the investment structure.
Example:ELI002
The official business name of the specific fund account within the investment structure.
Example:Fund
Allowed values:CHECKINGSAVINGSCREDITCARDDEBITCARDBROKERAGEACCOUNTCERTIFICATEOFDEPOSITWIRE
The percentage of total fund allocation assigned to a particular fund account.
Example:100
The date when the loan segment becomes active and enforceable within the policy.
Example:2023-01-01
AdhocReissuanceFundAllocation
objectAllowed values:INVESTMENTFUNDINVESTMENTMODELCHARGEDEDUCTIONDEFAULTWITHDRAWALINTERESTRATERENEWAL
Show Child Parameters
AdhocReissuance
objectThe unique ID to track transaction request across all systems
Example:5df63b47-54fc-4905-a8ff-e1c5f12e667d
Date (with pattern “yyyy-mm-dd”)
Example:2023-01-01
When set to true, allows a backdated transaction to be processed.
Default:false
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Show Child Parameters
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Show Child Parameters
IriProductType
stringProduct type.
Allowed values:FIXEDVARIABLEINDEXEDIMMEDIATEDEFERRED
IriProduct
objectMarketing/plan name of the product.
<= 200 characters
Example:Fixed Indexed Annuity Premier
Product type.
Allowed values:FIXEDVARIABLEINDEXEDIMMEDIATEDEFERRED
Short display name of the product.
<= 100 characters
Example:FIA Premier
Carrier-assigned plan code.
Match pattern:^[A-Za-z0-9]{1,50}$
Example:FIAPRM01