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APPS.XTR_REVAL_PROCESS_P dependencies on XTR_STOCK_ALLOC_DETAILS

Line 8646: from XTR_STOCK_ALLOC_DETAILS STOCK,

8642: Select stock.deal_no, stock.cross_ref_no, stock.fair_value, stock.init_consideration,
8643: stock.real_gain_loss, stock.quantity, stock.remaining_quantity,
8644: stock.price_per_share, decode(cp.parameter_value_code, 'TRADE',
8645: stock.cross_ref_deal_date, stock.cross_ref_start_date) resale_rec_date
8646: from XTR_STOCK_ALLOC_DETAILS STOCK,
8647: XTR_COMPANY_PARAMETERS CP,
8648: XTR_DEALS D
8649: Where stock.deal_no = rec.deal_no
8650: and stock.deal_no = d.deal_no

Line 8710: Update XTR_STOCK_ALLOC_DETAILS

8706: XTR_REVL_STOCK_UNREAL(rec, st_rec, l_resale, l_overwrite, l_dummy, l_dummy1, l_dummy2);
8707:
8708: -- Update xtr_bond_alloc_details record so this record will not be
8709: -- eligible for next time
8710: Update XTR_STOCK_ALLOC_DETAILS
8711: Set batch_id = rec.batch_id
8712: where deal_no = st_rec.deal_no
8713: and cross_ref_no = st_rec.cross_ref_no;
8714: