PoolingMethodEnum

Title
PoolingMethodEnum

Description
Indicates the timing of the remittance of the scheduled principal and interest payment from the servicer to the certificate holders of a particular pool.

Used By
\MESSAGE\DEAL_SETS\DEAL_SET\POOL\POOL_DETAIL\PoolingMethodType ( PoolingMethodType )

Codes
Value Description
ConcurrentDatePayments are remitted to investors 15 days after the loan scheduled due date.
InternalReservePayments are remitted to investors 45 days after due date.
Other