summary information definition

summary information means items of patient data that comprise the Summary Care Record.
summary information means items of Patient data that comprise the Summary Care Record.
summary information. For reconciliation purposes (may be paper summary)

More Definitions of summary information

summary information. For reconciliation purposes (may be paper summary) Total number of records Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Total of each dollar field Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Note: All values to nearest dollar *The current maximum premium rate shall be in effect for a minimum of twenty (20) years from the Effective Date of this Reinsurance Agreement. Thereafter, it may be increased based on expected experience but not beyond the stated guaranteed maximum rates shown. This Confidentiality and Non-Disclosure Agreement (“Agreement”) is made as of 24 December, 1998 by and between AXA Re Life Insurance Company (“AXA Re”), a life insurance company organized and existing under the laws of the State of Delaware, and Fortis Benefit Insurance Company (“Company”), a corporation organized and existing under the laws of the State of Minnesota.
summary information means items of patient data that comprise the ▇▇▇▇▇ ▇▇ Record. 281. The Contractor must use the GP2GP facility for the safe and effective transfer of any patient records:
summary information. For reconciliation purposes (may be paper summary) Total number of records Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Total of each dollar field Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Note: All values to nearest dollar EXHIBIT I 1994 VARIABLE ANNUITY MGDB MORTALITY TABLE (APPLIED AGE LAST BIRTHDAY AT ATTAINED AGE)
summary information. Total number of records Total of each dollar field Monthly aggregate information Termination File: Termination Date YYYYMMDD, If applicable Reason for Termination Reason for Termination and translation to be provided, if available RNAR Unearned Premium Refund Claim File: Claim Settlement Date YYYYMMDD, If applicable Date of Death YYYYMMDD RNAR Unearned Premium Refund If applicable (if premiums were paid beyond the settlement month) Note: All values to nearest dollar -------------------------------------------------------------------------------- GE Life and Annuity Assurance Co., Agreement No. NY154 Effective February 15, 2002 Exhibit I CEDING COMPANY's Underwriting Procedures -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- GE Life and Annuity Assurance Co., Agreement No. NY154 Effective February 15, 2002 ▇▇▇▇ Express UW Procedures Index:
summary information. For reconciliation purposes (may be paper summary) Total number of records Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Total of each dollar field Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Note: All values to nearest dollar AIG Agreement No. 2000-35-DB Effective January 31, 2001 Exhibit I 1994 Variable Annuity MGDB Mortality Table (applied age last birthday at attained age) Age Male Qx Female Qx Age Male Qx Female Qx --- -------- --------- --- -------- --------- 1 0.000587 0.000519 60 0.010029 0.005636 2 0.000433 0.000358 61 0.011312 0.006460 3 0.000350 0.000268 62 0.012781 0.007396 4 0.000293 0.000218 63 0.014431 0.008453 5 0.000274 0.000201 64 0.016241 0.009611 6 0.000263 0.000188 65 0.018191 0.010837 7 0.000248 0.000172 66 0.020259 0.012094 8 0.000234 0.000158 67 0.022398 0.013318 9 0.000231 0.000154 68 0.024581 0.014469 10 0.000239 0.000159 69 0.026869 0.015631 11 0.000256 0.000169 70 0.029363 0.016957 12 0.000284 0.000185 71 0.032169 0.018597 13 0.000327 0.000209 72 0.035268 0.020599 14 0.000380 0.000239 73 0.038558 0.022888 15 0.000435 0.000271 74 0.042106 0.025453 16 0.000486 0.000298 75 0.046121 0.028372 17 0.000526 0.000315 76 0.050813 0.031725 18 0.000558 0.000326 77 0.056327 0.035505 19 0.000586 0.000333 78 0.062629 0.039635 20 0.000613 0.000337 79 0.069595 0.044161 21 0.000642 0.000340 80 0.077114 0.049227 22 0.000677 0.000343 81 0.085075 0.054980 23 0.000717 0.000344 82 0.093273 0.061410 24 0.000760 0.000344 83 0.101578 0.068384 25 0.000803 0.000346 84 0.110252 0.075973 26 0.000842 0.000352 85 0.119764 0.084432 27 0.000876 0.000364 86 0.130583 0.094012 28 0.000907 0.000382 87 0.143012 0.104874 29 0.000935 0.000403 88 0.156969 0.116968 30 0.000959 0.000428 89 0.172199 0.130161 31 0.000981 0.000455 90 0.188517 0.144357 32 0.000997 0.000484 91 0.205742 0.159461 33 0.001003 0.000514 92 0.223978 0.175424 34 0.001005 0.000547 93 0.243533 0.192270 35 0.001013 0.000585 94 0.264171 0.210032 36 0.001037 0.000628 95 0.285199 0.228712 37 0.001082 0.000679 96 0.305931 0.248306 38 0.001146 0.000739 97 0.325849 0.268892 39 0.001225 0.000805 98 0.344977 0.290564 40 0.001317 0.000874 99 0.363757 0.313211 41 0.001424 0.000943 100 0.382606 0.336569 42 0.001540 0.001007 101 0.401942 0.360379 43 0.001662 0.001064 102 0.422569 0.385051 44 0.001796 0.001121 103 0.445282 0.411516 45 0.001952 0.001186 104 0.469115 0.439065 46 0.002141 0.001269 105 0.491923 0.465584 47 ...
summary information. For reconciliation purposes (may be paper summary) Total number of records Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Total of each dollar field Monthly aggregate information by GMIB Design, GMAB Design, and Pricing Cohort (if applicable) Note: All values to nearest dollar -------------------------------------------------------------------------------- GE Capital of New York, Agreement No.2001-51 Effective July 1, 2001 Exhibit I 1994 Variable Annuity MGDB Mortality Table (applied age last birthday at attained age)
summary information. Purchase Limit: $500,000,000 Liquidity Termination Date: -------------------- ----------- Weekly Period Ended: [Date] Payment Due Date, if any, to Issuer: [Date + 5 -------------------- ----------- Date Due to Agent: [Date + 3 Bus. Days] Bus. Days] -------------------- -------------------------------------------------------------------------------- I. Reconciliation of Invested Amount -------------------------------------------------------------------------------- A. Beginning Period Invested Amount $0.00 B. Installment Purchases During Period $0.00 C. Partial Amortizations $0.00 D. Ending Period Invested Amount (A+B-C) $0.00 -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- II. Reconciliation of the Portfolio's Fair Market Value (FMV) -------------------------------------------------------------------------------- A. Beginning Period FMV of Securities and Short-Term Investments $0.00 B. Ending Period FMV of Securities and Short-Term Investments $0.00 C. Ending Period Free Cash Balance in Custodial Account $0.00 D. Ending Period Total Portfolio FMV (B+C) $0.00 E. Change in FMV of Securities and Short-Term Investments (A-B) $0.00 F. Ending Portfolio FMV/Ending Invested Amount (D/I.D) 0.00% G. Shortfall Amount (I.D-D, if difference > 3%); Due from Swap Provider to Issuer $0.00 -------------------------------------------------------------------------------- [COMPLIANCE PARAGRAPH] EXHIBIT D FORM OF SETTLEMENT REPORT