CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE |
EntityType | Dependent |
Logical Entity Name | CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE |
Default Table Name | DEAL/SERVICES/SERVICE/CREDIT/CREDIT_RESPONSE/LOANS/LOAN/ADJUSTMENT/CONVERSION_ADJUSTMENT/CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULES/CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE |
Definition | |
Note |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Attributes |
Attribute/Logical Rolename | Domain | Datatype | NULL | Definition |
ConversionOptionPeriodAdjustmentEffectiveDate | MISMODate | DATE | NO | The payment due date when the convertible factors become applicable, also known as the conversion period start date. |
SequenceNumber | XSD:Integer | INTEGER | YES | An integer value used to provide an order to multi-instance sibling elements. The value must be unique for each sibling element. |
ConversionOptionPeriodDemandNotificationFrequencyCount | MISMOCount | INTEGER | NO | The number of payments between demand conversion option notifications to be mailed as a courtesy to the mortgagor. |
ConversionOptionPeriodExpirationDate | MISMODate | DATE | NO | The payment due date when the convertible factors expire. |
ConversionOptionPeriodFeeAmount | MISMOAmount | DECIMAL(0, 2) | NO | The dollar amount that the mortgagor must pay to exercise the conversion option. |
ConversionOptionPeriodFeeBalanceCalculationType | ConversionOptionPeriodFeeBalanceCalculationEnum | VARCHAR(0) | YES | Indicates whether the conversion fee is calculated as a percentage of the original principal balance or the principal balance at the time of conversion. |
ConversionOptionPeriodFeePercent | MISMOPercent | DECIMAL(0, 2) | NO | The percentage of the loans principal balance (either original or at conversion) that the mortgagor must pay to exercise the option to convert. |
ConversionOptionPeriodReplyDaysCount | MISMOCount | INTEGER | NO | The number of days after the notice is generated that the mortgagor must reply to exercise the option to convert. |
ConversionOptionPeriodRoundingPercent | MISMOPercent | DECIMAL(0, 2) | NO | The percentage to which the interest rate is rounded when calculating a new interest rate for the option to convert an ARM loan to a fixed rate loan. This field is used in conjunction with Conversion Option Period Rounding Type which indicates how roundin |
ConversionOptionPeriodRoundingType | ConversionOptionPeriodRoundingEnum | VARCHAR(0) | YES | Indicates how the Conversion Option Margin Rate Percent is rounded when calculating a new interest rate for the option to convert an ARM loan to a fixed-rate loan. The interest rate can be rounded Up, Down or to the Nearest Rounding Factor. This field is used in conjunction with Conversion Option Period Rounding Percent which indicates the percentage to which the rounding occurs. |
ConversionOptionPeriodType | ConversionOptionPeriodEnum | VARCHAR(0) | YES | Indicates the type of conversion option associated with the loan. |
ConversionRateCalculationMethodDescription | MISMOString | VARCHAR(0) | NO | Describes how interest rate changes are to be calculated when calculating a new interest rate for the option to convert an ARM loan to a fixed rate loan. |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Keys |
Key Name | Key Type | Keys |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Relationships |
Parent Relationships: |
Entity Name | Type | Cardinality | Business Name | VerbPhrase | InversePhrase | Foreign Keys | Is Supertype |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULES | Identifying | One To Zero or More | NO |
Child Relationships: |
Entity Name | Type | Cardinality | Business Name | VerbPhrase | InversePhrase | Foreign Keys | Is Subtype |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Check Constraints |
Check Constraint Name | CheckConstraint |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Bound Attachments |
Name | Current Value |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE User-Defined Mappings |
Model | Name | Description |
CONVERSION_OPTION_PERIOD_ADJUSTMENT_RULE Data Movement Rules |
Name | Type | Rule Text/Value |