You are here: Configuration > Valuation > Point in Time Valuation > PointInTimeValuation Rule

 

PointInTimeValuation Rule

The PointInTimeValuation business rule is used to enable and configure Point-in-Time valuation.

 

Explanation of Key Elements

The <WriteBegin> element must be set to Yes to enable PointInTimeValuation. The <WriteEnd> element allows for two values: Always and FundChange. When <WriteEnd> is set to Always, the valuation results will be written to the database every time the valuation calculations are preformed on the policy. When <WriteEnd> is set to FundChange, the valuation results will only be written to the database if there has been a change in the fund value.  

 

 

XML Schema

<PointInTimeValuation>

<WriteBegin>[Yes/No]</WriteBegin>   

<WriteEnd>[Always/FundChange]</WriteEnd>   

</PointInTimeValuation>

 

Refer to the prototype example for additional information.

 

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