Item type definition

Item type means a coded representation of the description of the item being warranted, consisting of the codes C - component procured separate from end item, S - subassembly procured separate from end item or subassembly, E – embedded in component, subassembly or end item parent, and P – parent end item.
Item type means a coded representation of the description of the item being warranted, consisting of the codes C
Item type. A static value for each type of content. (Not required for Series/Season.) o Episode content: downloadable-television-shows o Standalone content: downloadable-feature-films • Genre(s): Multiple values allowed. Minimum of 1, maximum of 5. (See allowed genres below.) • Sequence (Episode/Season req., Standalone/Series optional): aka. Container Position, this is the order of the episode within the season or season within the series. • Original Air Date (Episode req., Standalone/Series/Season not required): Date on which the content was first aired, or first available (for unaired content). The following fields are optional. Though technically optional, these fields should be delivered whenever this data exists: • Actors: Multiple values allowed. • Writers: Multiple values allowed.

Examples of Item type in a sentence

  • Typically it is a UUID, e.g.: “SUBS-1e789ba3-4eda-429b-959d- 07d7b2a36191”.◦ Fields:▪ key: the name of the item representing the details of this subscription, in the form SUB-<MPN subscription ID>.▪ command: the command for the key, either “ADD”, “DELETE” or “UPDATE” (following the common rules for command mode items, see §3.2).• Subscription details items:◦ Item type: MERGE◦ Item name: SUB-<MPN subscription ID>▪ Where <MPN subscription ID> is the ID assigned by the MPN Module during activation.

  • Typically it is a UUID, e.g.: “DEV-1e789ba3-4eda-429b-959d- 07d7b2a36191”.◦ Fields:▪ status: the current status of the device, either “ACTIVE” or “SUSPENDED”.▪ status_timestamp: the timestamp of the latest change of status, expressed as a Java timestamp (i.e. number of milliseconds since 1/1/1970 00:00:00 GMT).• Device subscription list items:◦ Item type: COMMAND◦ Item name: SUBS-<MPN device ID>▪ Where <MPN device ID> is the ID assigned by the MPN Module during registration.

  • However, if you need to implement your own client library, and have to support MPNs, following you can find all the details about its structure.The internal MPN Data Adapter provides the following items:• Device status items:◦ Item type: MERGE◦ Item name: DEV-<MPN device ID>▪ Where <MPN device ID> is the ID assigned by the MPN Module during registration.

  • Instead, Items are posted to your Account using automated systems that group transactions into categories based on the Item type.

  • All of P’s other rights in the preferred stock are valued as if P’s dividend right does not exist but otherwise without regard to section 2701.

  • The Zotero database fields required by the SSK are:• Item type: The item type is most of the time identified by Zotero but it's important to check it.

  • Item type definitions‌Entity types and link types categorize the information on your chart and are part of a chart's properties.

  • General Cost Factors: The budget and budget notes reference US dollars.

  • A re- quest from Contractor in accordance with the condi- tions specified in Division 1 to substitute an Item, type of construction, or process indicated in the Contract Documents with another item, type of construction or process that shall be equal in all respects to that so indicated.

  • Discussion/Action: The fourth amendment to the operating agreement and terminal building lease with Compania Mexicana de Aviacion, S.A. de C.V. (Mexicana Airlines), was approved and its execution authorized.


More Definitions of Item type

Item type means a coded representation of the description of the item being warranted, consisting of the codes C - component procured separate from end item, S - subassembly procured separate from end item or subassembly, E – embedded in component, subassembly or end item parent, and P – parent end item. “Starting event” means the event or action that initiates the warranty, such as first use or upon installation.
Item type. On-Us Debits Yes X No _____ Frequency Daily On-Us Credits Yes X No _____ Frequency Daily General Ledger Tickets Yes X No _____ Frequency Daily Cash Tickets Yes _____ No X Frequency ________ Other On-Us Items (Identify) Yes X No _____ Savings, IRAs, Installment Credit Frequency Daily and Safe Deposit Box per current process Serial Sorting Yes X No _____

Related to Item type

  • Prop Type Sr Lien: Orig Amount: P&&I: Cr. Score: Sevicer Loan Prod Code: Rem Term: Occp Code: Appr Value: Note Date: Debt Ratio: City Stat Zip Purpose: Curr Rate: CLTV: Prin Bal: Maturity Date: Lien Pos: 6566412 180 14 $99,643.00 $51,000.00 $578.06 713 0300745072 6 179 1 $121,597.00 11/09/2001 49 High Point NC 27265 02 10.950 124 $50,887.32 11/20/2016 2 6566414 180 14 $95,000.00 $30,000.00 $355.24 791 0300744828 6 179 1 $100,000.00 11/07/2001 35 Kansas City MO 64119 02 11.750 125 $29,938.51 11/15/2016 2 6566416 180 14 $32,275.00 $42,500.00 $481.72 705 0300744893 6 178 1 $65,000.00 10/18/2001 37 Hastings NE 68901 02 10.950 116 $42,311.33 10/23/2016 2 6566418 180 14 $227,050.00 $60,000.00 $663.24 680 0300744851 6 179 1 $239,000.00 11/05/2001 43 Apollo Beach FL 33572 02 10.500 121 $59,861.76 11/09/2016 2 6566420 180 14 $79,086.00 $40,900.00 $427.09 687 0300745023 6 179 1 $96,000.00 11/07/2001 32 Lenoir City TN 37772 02 9.500 125 $40,900.00 11/13/2016 2 6566422 180 14 $111,186.00 $40,000.00 $473.65 723 0300744927 6 179 1 $135,766.00 11/03/2001 47 Sheffield OH 44054 02 11.750 112 $39,835.23 11/08/2016 2 6566424 180 14 $40,351.00 $51,800.00 $555.06 722 0300744539 6 179 1 $73,795.00 11/07/2001 38 Ottawa KS 66067 02 9.950 125 $51,583.84 11/13/2016 2 6566426 180 14 $116,191.00 $75,000.00 $794.52 705 0300744745 6 179 1 $160,000.00 11/07/2001 36 Greenfield WI 53221 02 9.750 120 $74,622.69 11/13/2016 2 6566428 180 14 $53,200.00 $35,500.00 $397.94 738 0300744612 6 179 1 $72,000.00 11/07/2001 32 Columbus NE 68601 02 10.750 124 $35,420.08 11/13/2016 2 6566430 180 14 $154,825.00 $49,400.00 $546.07 692 0300744588 6 179 1 $163,450.00 11/06/2001 38 Presno CA 93720 02 10.500 125 $49,286.18 11/12/2016 2 6566432 300 14 $161,667.00 $65,000.00 $607.92 762 0300744513 8 299 1 $200,506.00 11/03/2001 38 Edgewood WA 98372 02 10.380 114 $64,954.06 11/08/2026 2 6566434 180 14 $148,689.00 $50,000.00 $560.47 717 0300744778 6 179 1 $161,250.00 11/08/2001 37 New Windsor NY 12553 02 10.750 124 $49,887.45 11/14/2016 2 6566436 180 14 $218,000.00 $35,000.00 $449.77 659 0300744752 6 179 1 $214,000.00 11/06/2001 43 Parker CO 80134 02 13.300 119 $34,938.15 11/13/2016 2 6566438 180 14 $129,500.00 $43,000.00 $488.47 689 0300744737 6 179 1 $138,000.00 11/08/2001 41 Waukee IA 50263 02 10.990 125 $42,905.34 11/14/2016 2 6566658 300 14 $138,794.00 $33,000.00 $369.08 686 0300753886 8 299 1 $138,794.00 11/05/2001 49 Westland MI 48186 02 12.880 124 $32,984.98 11/13/2026 2 6567198 301 14 $96,954.00 $37,200.00 $384.94 711 0300738812 8 299 1 $111,000.00 10/26/2001 44 Montgomery AL 36116 02 11.750 121 $37,164.25 11/01/2026 2 6567746 181 14 $111,362.00 $35,000.00 $469.05 654 0300758810 6 179 1 $128,062.00 10/20/2001 33 Keizer OR 97303 02 14.130 115 $34,942.93 11/06/2016 2 6567770 121 14 $42,548.00 $13,500.00 $191.74 701 0300738978 5 119 1 $45,000.00 10/15/2001 30 Bridgeport OH 43912 02 11.750 125 $13,432.19 11/01/2011 2 6568040 180 14 $171,000.00 $48,200.00 $570.75 701 0300739042 6 179 1 $191,029.00 11/06/2001 41 LEICESTER MA 01524 02 11.750 115 $48,100.96 11/13/2016 2 6568200 180 14 $108,608.00 $53,500.00 $659.40 690 0300764354 6 179 1 $152,178.00 11/09/2001 41 Las Vegas NV 89117 02 12.500 107 $53,397.89 11/15/2016 2 6568410 181 14 $51,550.00 $29,000.00 $359.79 707 0300742384 6 180 1 $70,000.00 11/07/2001 27 Matheson CO 80830 02 12.630 116 $29,000.00 12/01/2016 2 Page 494 of 526

  • engine type means a category of engines which do not differ in essential engine characteristics.

  • Loan Type Each Mortgage Loan is a [Adjustable Rate] [Balloon] [Fixed Rate] Mortgage Loan.

  • Service Type means the customer class, partial customer class and/or group of customer classes, as set forth in a Transaction Confirmation.

  • Unique item identifier type means a designator to indicate which method of uniquely identifying a part has been used. The current list of accepted unique item identifier types is maintained at http://www.acq.osd.mil/dpap/pdi/uid/uii_types.html.

  • Transaction Type means the nature of the fuel transaction as defined below:

  • aircraft type means all aircraft of the same basic design including all modifications thereto except those modifications which result in a change in handling or flight characteristics;

  • Table 1 means Table 1 of the Reporting ITS.

  • Schedule of Discount Fractions The schedule setting forth the Discount Fractions with respect to the Discount Mortgage Loans, attached as an exhibit to the Series Supplement.

  • product type means any of the following:

  • Delivery Schedule means the schedule for the delivery of Services as set forth in attached Annex 3.

  • Data matrix means a two-dimensional matrix symbology, which is made up of square or, in some cases, round modules arranged within a perimeter finder pattern and uses the Error Checking and Correction 200 (ECC200) specification found within International Standards Organization (ISO)/International Electrotechnical Commission (IEC) 16022.

  • Rate Type means the Offshore Rate, the Base Rate or the CP Rate.

  • Reference Schedule means the reference schedule in Part A of this Invitation

  • Issue Type Category means, with respect to a Municipal Obligation acquired by the Fund, for purposes of calculating S&P Eligible Assets as of any Valuation Date, one of the following categories into which such Municipal Obligation falls based upon a good faith determination by the Fund: health care issues (including issues related to teaching and non-teaching hospitals, public or private); housing issues (including issues related to single- and multi-family housing projects); educational facilities issues (including issues related to public and private schools); student loan issues; transportation issues (including issues related to mass transit, airports and highways); industrial development bond issues (including issues related to pollution control facilities); public power utilities issues (including issues related to the provision of electricity, either singly or in combination with the provision of other utilities, and issues related only to the provision of gas); water and sewer utilities issues (including issues related to the provision of water and sewers as well as combination utilities not falling within the public power utilities category); special utilities issues (including issues related to resource recovery, solid waste and irrigation as well as other utility issues not falling within the public power and water and sewer utilities categories); general obligation issues; lease obligations (including certificates of participation); Escrowed Bonds; and other issues (“Other Issues”) not falling within one of the aforementioned categories. The general obligation issue category includes any issuer that is directly or indirectly guaranteed by the State or its political subdivisions. Utility issuers are included in the general obligation issue category if the issuer is directly or indirectly guaranteed by the State or its political subdivisions. Municipal obligations in the utility issuer category will be classified within one of the three following sub-categories: (i) electric, gas and combination issues (if the combination issue includes an electric issue); (ii) water and sewer utilities and combination issues (if the combination issues does not include an electric issue); and (iii) irrigation, resource recovery, solid waste and other utilities, provided that Municipal Obligations included in this sub-category (iii) must be rated by S&P in order to be included in S&P Eligible Assets. Municipal Obligations in the transportation issue category will be classified within one of the two following sub-categories: (i) streets and highways, toll roads, bridges and tunnels, airports and multi-purpose port authorities (multiple revenue streams generated by toll roads, airports, real estate, bridges); (ii) mass transit, parking seaports and others.

  • Prices & Rates Schedule means the Schedule containing details of the Contract Price.

  • Term: Prop Type Sr Lien: Orig Amount: P&&I: Cr. Score: Sevicer Loan Prod Code: Rem Term: Occp Code: Appr Value: Note Date: Debt Ratio: City Stat Zip Purpose: Curr Rate: CLTV: Prin Bal: Maturity Date: Lien Pos: 7665431 180 14 $101,226.00 $60,000.00 $759.34 696 0301134912 6 179 1 $145,925.00 04/15/2002 47 Claremore OK 74017 02 13.010 111 $60,000.00 04/26/2017 2 7665433 180 14 $119,139.00 $60,000.00 $753.43 724 0301134920 6 179 1 $144,000.00 04/17/2002 42 Moreno Valley CA 92553 02 12.860 125 $59,889.32 04/29/2017 2 7665435 180 14 $145,886.00 $25,000.00 $313.11 684 0301134938 6 179 1 $147,000.00 04/16/2002 42 Riverside CA 92503 02 12.810 117 $25,000.00 04/30/2017 2 7665437 180 14 $284,754.00 $30,000.00 $415.36 651 0301134946 6 179 1 $292,345.00 04/11/2002 45 Corona CA 92882 02 14.780 108 $29,954.14 04/30/2017 2 7665439 301 14 $120,606.00 $75,000.00 $815.25 720 0301135117 8 300 1 $156,900.00 04/25/2002 50 Salem OR 97305 02 12.460 125 $74,953.19 05/03/2027 2 7665441 180 14 $114,519.00 $35,000.00 $412.32 721 0301134953 6 179 1 $140,000.00 04/10/2002 37 Torrington CT 06790 02 11.660 107 $35,000.00 04/30/2017 2 7665443 241 14 $101,710.00 $65,000.00 $751.36 722 0301135083 9 240 1 $147,000.00 04/18/2002 39 Highland CA 92346 02 12.780 114 $64,940.89 05/01/2022 2 7665445 180 14 $109,544.00 $29,000.00 $363.21 692 0301134961 6 179 1 $111,900.00 04/17/2002 42 San Bernardino CA 92404 02 12.810 124 $28,809.45 04/30/2017 2 7665447 180 14 $143,305.00 $35,000.00 $442.72 691 0301134979 6 179 1 $150,000.00 04/02/2002 22 Riverview FL 33569 02 13.000 119 $34,879.02 04/24/2017 2 7665449 180 14 $89,802.00 $75,000.00 $899.64 717 0301134987 6 179 1 $138,000.00 04/08/2002 47 Tallahassee FL 32309 02 11.990 120 $74,849.38 04/26/2017 2 7665451 181 14 $254,780.00 $33,000.00 $413.30 694 0301135133 6 179 1 $270,000.00 03/29/2002 49 San Dimas CA 91773 02 12.810 107 $32,938.84 04/18/2017 2 7665453 181 14 $81,399.00 $60,000.00 $783.19 690 0301134995 6 180 1 $124,000.00 04/17/2002 34 West Allis WI 53219 02 13.610 115 $60,000.00 05/01/2017 2 7665455 180 14 $99,750.00 $31,500.00 $403.75 670 0301135000 6 179 1 $105,000.00 04/05/2002 39 Nampa ID 83651 02 13.250 125 $31,500.00 04/25/2017 2 7665457 181 14 $58,289.00 $21,200.00 $325.97 652 0301135018 6 180 1 $64,349.00 04/18/2002 39 Norman OK 73071 02 16.980 124 $21,200.00 05/01/2017 2 7665585 180 14 $157,899.00 $40,850.00 $491.58 718 0301128807 6 179 1 $159,000.00 04/24/2002 44 Green Bay WI 54311 02 12.050 125 $40,850.00 04/30/2017 2 7665587 180 14 $149,119.00 $30,000.00 $384.52 670 0301128781 6 179 1 $158,000.00 04/23/2002 45 ORLANDO FL 32824 02 13.250 114 $29,946.73 04/29/2017 2 7665589 301 14 $87,088.00 $67,000.00 $786.08 692 0301110672 8 300 1 $130,000.00 04/27/2002 50 ELM GROVE LA 71051 02 13.600 119 $67,000.00 05/03/2027 2 7665628 61 14 $92,571.00 $29,000.00 $635.97 683 0300980745 4 58 1 $123,000.00 02/15/2002 34 TUCSON AZ 85743 02 11.380 99 $27,906.48 03/01/2007 2 7665659 181 14 $86,889.00 $25,000.00 $316.32 666 0301108130 6 180 1 $92,000.00 04/12/2002 46 Semmes AL 36575 02 13.000 122 $25,000.00 05/01/2017 2 7665691 301 14 $80,686.00 $25,000.00 $334.83 671 0301108098 8 299 1 $85,000.00 03/25/2002 40 Mobile AL 36695 02 15.750 125 $24,983.13 04/01/2027 2 7665695 301 14 $120,051.00 $29,000.00 $305.44 686 0301110508 8 300 1 $121,000.00 04/24/2002 43 Columbus MS 39701 02 12.000 124 $28,984.56 05/02/2027 2 Page 231 of 432

  • Part 2 means Part 2 of the withdrawal agreement or (as the case may be) Part 2 of the EEA EFTA separation agreement, so far as the Part in question applies to and in the United Kingdom;

  • Time Schedule means the Time Schedule for final completion of the Works or Mechanical Completion of the Plant(s)/Unit(s), as the case may be, incorporated in the Contract or as may be extended by the OWNER or Engineer- in-Charge pursuant to the provisions hereof and shall include interim time schedules set up for achieving interim/phase-wise/stage-wise progress/completion/testing/commissioning/ handing over, as may be prescribed by the OWNER/Engineer-in-Charge, within the overall Time Schedule as originally envisaged or as extended.

  • Shift Schedule means a written statement setting forth the days and hours upon which the employees are required to work.

  • Contract Schedule The list (as such list may be amended from time to time) identifying each Contract constituting part of the corpus of the Trust Fund as of the Cut-off Date, and which (a) identifies each Contract as either a Fixed Rate Contract or Adjustable Rate Contract and by contract number and name and address of the Obligor and (b) sets forth as to each Contract (i) the unpaid principal balance as of the related Transfer Date determined by giving effect to payments received prior to the related Transfer Date, (ii) the amount of each scheduled payment due from the Obligor, and (iii) the APR.

  • Part A Direct Award Criteria

  • Document type means the type of payment request or receiving report available for creation in Wide Area WorkFlow (WAWF).

  • Part V means Tariff, sections 113 through 122 pertaining to the deactivation of generating units in conjunction with the applicable Common Service Provisions of Tariff, Part I and appropriate Schedules and Attachments.

  • Schedule of Rates means the priced Schedule of Rates forming part of the tender [where applicable].

  • Part II means Tariff, Part II, sections 13 through 27A pertaining to Point-To-Point Transmission Service in conjunction with the applicable Common Service Provisions of Tariff, Part I and appropriate Schedules and Attachments.