Return of the schedule with the merging of the first tranches of two schedules, if the maturity dates of tranches with zero asset fall between the dates of the first and second schedules
GET
added optional merge-first-tranches parameter if its
pass true - the first tranches are merged like this
Parameters
Path Parameters
contractId*
contractId
Type
Requiredinteger
Format
"int64"Query Parameters
date
date
Type
string
Format
"date"include-not-for-charge-fees
include-not-for-charge-fees
Type
boolean
merge-first-tranches
merge-first-tranches
Type
boolean
move-repayments-to-monday
move-repayments-to-monday
Type
boolean
only-issued
only-issued
Type
boolean
Responses
OK
*/*
data
object
activeBefore
string
Until what date is the schedule valid?
Format
"date-time"amount
number
The total amount of the contract (but not payments. Payments = fixed assets + interest)
Format
"double"chargeIssueFee
boolean
Charge fees upon issue
creationDate
string
Unix timestamp chart creation / scheduling date in milliseconds
Format
"date-time"eachRepaymentFeeFree
boolean
id
integer
Contract payment schedule identifier
Format
"int64"issued
boolean
Issued Yes / No
specifiedRepaymentNorm
number
Redemption rate (target value)
Format
"double"tranches
object[]
Tranches
Expand
status
string
Valid values
"error""ok"timestamp
integer
Format
"int64"