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TABLE: XTR.XTR_REVALUATION_DETAILS

Object Details
Object Name: XTR_REVALUATION_DETAILS
Object Type: TABLE
Owner: XTR
FND Design Data: TableXTR.XTR_REVALUATION_DETAILS
Subobject Name:
Status: VALID

View Type

A supplementary view used to simplify forms coding.

Warning: Oracle does not recommend you query or alter datausing this view. It may change dramatically in subsequent minor or major
releases.

Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
XTR_REVALUATION_DETAILS_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnREVALUATION_DETAILS_ID
XTR_REVALUATION_DETAILS_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPERIOD_FROM
ColumnPERIOD_TO
ColumnCOMPANY_CODE
XTR_REVALUATION_DETAILS_N2 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnBATCH_ID
XTR_REVALUATION_DETAILS_N3 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnDEAL_NO
Columns
Name Datatype Length Mandatory Comments
ACTION_CODE VARCHAR2 (7)
Code for actions involved in executing deals
AUDIT_INDICATOR VARCHAR2 (1)
Not currently used
COMPANY_CODE VARCHAR2 (7) Yes Company code
CONTRACT_CODE VARCHAR2 (30)
Issue code for Bond and Stock deal types
CROSS_REF_TO_POSTING NUMBER

Not currently used
CURRENCYA VARCHAR2 (15) Yes Base currency
CURRENCYB VARCHAR2 (15)
Contra currency
CURRENCY_INDICATOR VARCHAR2 (1)
Not currently used
DEAL_NO NUMBER
Yes Unique number assigned to each deal
DEAL_SUBTYPE VARCHAR2 (30) Yes Code for deal executions permissible within a deal type
DEAL_TYPE VARCHAR2 (7) Yes Code for high level deals
EFFECTIVE_DATE DATE
Yes Revaluation effective date
EFFECTIVE_DAYS NUMBER

Number of days between revaluation date and transaction maturity date
ENTERED_BY VARCHAR2 (30) Yes User who entered the revaluation details
ENTERED_ON DATE
Yes Date the revaluation details was entered
FACE_VALUE NUMBER
Yes Amount which revaluation calculation is based on
FXO_SELL_REF_AMOUNT NUMBER

Amount in the contra currency of a foreign exchange option deal
FX_REVAL_PRINCIPAL_BAL NUMBER

Not currently used
PERIOD_FROM DATE
Yes The starting period for which the realized or unrealized fair value gain/loss amount is calculated.
PERIOD_TO DATE
Yes The ending period for which the realized or unrealized fair value gain/loss amount is calculated.
PORTFOLIO_CODE VARCHAR2 (30)
Code for grouping deals under a single portfolio
PRODUCT_TYPE VARCHAR2 (10) Yes Code for products used in a deal type
RATE_ERROR VARCHAR2 (1)
No longer used.
REALISED_PL NUMBER

Profit or loss of transaction that has matured
REVAL_CCY VARCHAR2 (15)
Revaluation currency
REVAL_HCE_AMOUNT NUMBER

No longer used.
REVAL_RATE NUMBER

Revaluation rate
REVAL_VALUE NUMBER

No longer used.
TRANSACTION_NO NUMBER
Yes Unique reference number assigned to a transaction
TRANSACTION_PERIOD NUMBER
Yes Remaining period for this transaction
TRANSACTION_RATE NUMBER
Yes Transaction rate
UNIQUE_REF_NUM NUMBER

No longer used.
UNREALISED_PL NUMBER

Profit or loss of the transaction that has not matured before the period to date
UPDATED_BY VARCHAR2 (30)
User who last updated this record
UPDATED_ON DATE

Date this record was last updated
YEAR_BASIS NUMBER

Number of days in a year used in calculations (for example, 360 and 365)
CREATED_BY VARCHAR2 (30) Yes User who created this record
CREATED_ON DATE
Yes Date this record was created
AUTHORIZE_JOURNAL_CREATION VARCHAR2 (1)
No longer used.
JOURNAL_CREATED DATE

No longer used.
BATCH_ID NUMBER (15) Yes Identifier that groups events into one process flow.
REVALUATION_DETAILS_ID NUMBER
Yes Unique identifier for the table.
SWAP_REF VARCHAR2 (10)
A reference for swaps.
COMPLETE_FLAG VARCHAR2 (1) Yes Indicates if the deal contains components or cash flows that are not priced but necessary. For the first phase, a completion means that fair value is not null. Y=Complete. N=Incomplete.
OVERWRITE_TYPE VARCHAR2 (30)
Indicates the form of the overwrite value.
OVERWRITE_VALUE NUMBER

Specifies the overwrite value amount. Depending on the OVERWRITE_TYPE set, this field can mean interest rate, FX rate, fair value or the price of a deal.
OVERWRITE_REASON VARCHAR2 (240)
Reason for overwrite.
FAIR_VALUE NUMBER

The calculated fair value of the deal in the revaluation currency.
REALIZED_FLAG VARCHAR2 (1)
Specifies if the amount recorded in this record is realized or unrealized. Y=Realized. N=Unrealized.
ACCOUNT_NO VARCHAR2 (20)
Stores the CA Account Number
CUMM_GAIN_LOSS_AMOUNT NUMBER

The cumulative unrealized gain/loss amount of the deal, in the revaluation currency.
CURR_GAIN_LOSS_AMOUNT NUMBER

The gain/loss amount of the cash flow due to change in currency exchange rates.
SOB_FV_GAIN_LOSS_AMOUNT NUMBER

The fair value gain/loss amount in Set of Books currency.
SOB_FAIR_VALUE_AMOUNT NUMBER

The fair value of the deal/transaction in the Set of Books currency.
REVAL_CURR_FV_AMOUNT NUMBER

The original calculated fair value of the deal/transaction in the revaluation currency, as calculated by the concurrent process before any overwriting. Internal use column.
CTR_CURR_SOB_CURR_FWD_RATE NUMBER

This is the contra currency to set of books currency forward rate.
EXCHANGE_RATE_ONE NUMBER

This exchange rate is mandatory for all single and double currency deal types. If no rates are found, the default value will be 0.
EXCHANGE_RATE_TWO NUMBER

This exchange rate is used for double currency deal types.
NI_DISC_AMOUNT NUMBER

Stores the pervious batch's NI discount amount
AMOUNT_TYPE VARCHAR2 (7)
Amount type
QUANTITY NUMBER

Not currently used
BANK_ACCT_USE_ID NUMBER (15)
Stores the bank account ID
Query Text

Cut, paste (and edit) the following text to query this object:


SELECT ACTION_CODE
,      AUDIT_INDICATOR
,      COMPANY_CODE
,      CONTRACT_CODE
,      CROSS_REF_TO_POSTING
,      CURRENCYA
,      CURRENCYB
,      CURRENCY_INDICATOR
,      DEAL_NO
,      DEAL_SUBTYPE
,      DEAL_TYPE
,      EFFECTIVE_DATE
,      EFFECTIVE_DAYS
,      ENTERED_BY
,      ENTERED_ON
,      FACE_VALUE
,      FXO_SELL_REF_AMOUNT
,      FX_REVAL_PRINCIPAL_BAL
,      PERIOD_FROM
,      PERIOD_TO
,      PORTFOLIO_CODE
,      PRODUCT_TYPE
,      RATE_ERROR
,      REALISED_PL
,      REVAL_CCY
,      REVAL_HCE_AMOUNT
,      REVAL_RATE
,      REVAL_VALUE
,      TRANSACTION_NO
,      TRANSACTION_PERIOD
,      TRANSACTION_RATE
,      UNIQUE_REF_NUM
,      UNREALISED_PL
,      UPDATED_BY
,      UPDATED_ON
,      YEAR_BASIS
,      CREATED_BY
,      CREATED_ON
,      AUTHORIZE_JOURNAL_CREATION
,      JOURNAL_CREATED
,      BATCH_ID
,      REVALUATION_DETAILS_ID
,      SWAP_REF
,      COMPLETE_FLAG
,      OVERWRITE_TYPE
,      OVERWRITE_VALUE
,      OVERWRITE_REASON
,      FAIR_VALUE
,      REALIZED_FLAG
,      ACCOUNT_NO
,      CUMM_GAIN_LOSS_AMOUNT
,      CURR_GAIN_LOSS_AMOUNT
,      SOB_FV_GAIN_LOSS_AMOUNT
,      SOB_FAIR_VALUE_AMOUNT
,      REVAL_CURR_FV_AMOUNT
,      CTR_CURR_SOB_CURR_FWD_RATE
,      EXCHANGE_RATE_ONE
,      EXCHANGE_RATE_TWO
,      NI_DISC_AMOUNT
,      AMOUNT_TYPE
,      QUANTITY
,      BANK_ACCT_USE_ID
FROM XTR.XTR_REVALUATION_DETAILS;

Dependencies

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XTR.XTR_REVALUATION_DETAILS does not reference any database object

XTR.XTR_REVALUATION_DETAILS is referenced by following:

SchemaAPPS
TriggerXTR_AU_REVALUATION_DETAILS_T
SynonymXTR_REVALUATION_DETAILS