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Policy

AdhocReissuancePolicyDates

object
issueDatestring(date)required

The date the policy was issued (with pattern “yyyy-mm-dd”).

Example:2023-01-01

Example

AdhocReissuanceFundAllocationsInvestments

object
fundIdstring

A unique identifier assigned to a specific fund account within the investment structure.

Example:ELI002

fundNamestring

The official business name of the specific fund account within the investment structure.

Example:Fund

fundAccountTypestring

Allowed values:CHECKINGSAVINGSCREDITCARDDEBITCARDBROKERAGEACCOUNTCERTIFICATEOFDEPOSITWIRE

allocationPercentagenumber(double)

The percentage of total fund allocation assigned to a particular fund account.

Example:100

startDatestring(date)

The date when the loan segment becomes active and enforceable within the policy.

Example:2023-01-01

Example

AdhocReissuanceFundAllocation

object
investmentTypestring

Allowed values:INVESTMENTFUNDINVESTMENTMODELCHARGEDEDUCTIONDEFAULTWITHDRAWALINTERESTRATERENEWAL

fundAllocationsInvestmentsarray[object]
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Example

AdhocReissuance

object
correlationIdstringrequired

The unique ID to track transaction request across all systems

Example:5df63b47-54fc-4905-a8ff-e1c5f12e667d

effectiveDatestring(date)required

Date (with pattern “yyyy-mm-dd”)

Example:2023-01-01

reverseInitiatorboolean

When set to true, allows a backdated transaction to be processed.

Default:false

externalIdentifiersobject
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partyobject
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ridersarray[object]
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policyFeaturesarray[object]
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policyDatesobject
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allocationobject
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Example

IriProductType

string

Product type.

Allowed values:FIXEDVARIABLEINDEXEDIMMEDIATEDEFERRED