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TABLE: FEM.FEM_MORTGAGE_BACK_SEC_T

Object Details
Object Name: FEM_MORTGAGE_BACK_SEC_T
Object Type: TABLE
Owner: FEM
Subobject Name:
Status: VALID


FEM_MORTGAGE_BACK_SEC_T is an interface table for loading and updating Analytic Mortgage-Backed Securities data into the FEM_MORTGAGE_BACK_SEC table using the Detail Client Data Loader. With the exception of the information required for the Calendar Period dimension as well as the STATUS column, each column on the interface table maps to a column in the destination table. The mapping between the columns on the interface table and the destination table is stored as Table Registration metadata. Users can go to the Table Registration user interface to view and update the column mapping metadata. Most columns that have a one-to-one mapping between the interface and destination tables share the same column name. If the interface table column maps to a destination table column with a different name, then the column most likely represents a dimension that has both a user-defined non-translatable alphanumeric identifier (or "Display Code") and a system generated numeric identifier (or "ID") for its members. Users should always populate the interface table column with the dimension "Display Code" value. The Detail Client Data Loader transforms the member values in the interface table into the correct internal numeric identifiers for each member. For example, LEDGER_DISPLAY_CODE and LEDGER_ID are columns that represent the Ledger dimension on the interface table and destination table, respectively. Users just need to populate the LEDGER_DISPLAY_CODE with the "Display Code" value. The data loader transforms the "Display Code" value into an internal numeric identifier before storing into the LEDGER_ID column on the destination table.
As noted above, members for the Calendar Period dimension are not identified in this manner. Rather, they are identified by a combination of the following information:
Level (CALP_DIM_GRP_DISPLAY_CODE), End Date (CAL_PERIOD_END_DATE), and Period Number (CAL_PERIOD_NUMBER). The loader also uses the Ledger (LEDGER_DISPLAY_CODE) to identify the Calendar to be used to verify the existence of all of the Calendar Period members in the load.
Scope: public
Product: FEM
Lifecycle: active
Display Name: Analytic Mortgage-Backed Securities Data
Category: BUSINESS_ENTITY FEM_FACT_REPOSITORY


Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
FEM_MORTGAGE_BACK_SEC_T_PK NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnCALP_DIM_GRP_DISPLAY_CODE
ColumnCAL_PERIOD_NUMBER
ColumnCAL_PERIOD_END_DATE
ColumnDATASET_DISPLAY_CODE
ColumnSOURCE_SYSTEM_DISPLAY_CODE
ColumnID_NUMBER
Columns
Name Datatype Length Mandatory Comments
STATUS VARCHAR2 (60) Yes Designates the Status of the row for loading. Records with a STATUS of "LOAD" will be loaded by the Source Data Loader. All other STATUS codes designate some sort of error from the load. The user (translated) text description can be found in FND Messages using this error status code as the Message Name.
CALP_DIM_GRP_DISPLAY_CODE VARCHAR2 (150) Yes Calendar Period Dimension Group
CAL_PERIOD_NUMBER NUMBER (15) Yes Calendar Period Number. Provides alternate identification for the Calendar Period, together with Ledger ID, Calendar Period End Date, and Calendar Period Dimension Group Name.
CAL_PERIOD_END_DATE DATE
Yes The end date of the calendar period
DATASET_DISPLAY_CODE VARCHAR2 (150) Yes Dataset Code
SOURCE_SYSTEM_DISPLAY_CODE VARCHAR2 (150) Yes Source System
ID_NUMBER NUMBER
Yes Uniquely identifies an instrument.
CURRENCY_CODE VARCHAR2 (15) Yes Currency Code
LEDGER_DISPLAY_CODE VARCHAR2 (150) Yes Ledger
EMBEDDED_OPTIONS_FLG VARCHAR2 (30)
Embedded Options Flag; Y means this account has one or related rows in the EMBEDDED_OPTIONS table.
JOINT_ACCOUNT_FLG VARCHAR2 (30)
Y designates that the account is joint-owned
MATURITY_FLOOR_FLAG VARCHAR2 (30)
Flag enabling specific financial instrument to receive a lower maturity floor
OPEN_ACCOUNT_FLG VARCHAR2 (30)
Identifies that the account is open
SENIORITY_FLAG VARCHAR2 (30)
Identifies whether a credit facility is a senior or subordinate claim. Y means Senior (45 percentage Loss Given Default) and N means Subordinate (75 percentage Loss Given Default).
VIP_ACCOUNT_FLG VARCHAR2 (30)
Y designates that the account belongs to a privileged customer
ACCOUNT_CONTRIB NUMBER

The current net profit contribution for the account
ACCOUNT_CONTRIB_AFTER_TAX NUMBER

Account Contribution After Tax
ACCOUNT_NUMBER VARCHAR2 (50)
The account number
ACCOUNT_OFFICER VARCHAR2 (50)
The primary officer responsible for this account.
ACCRUAL_BASIS_DISPLAY_CODE VARCHAR2 (150)
Basis on which interest accrual is calculated. Suggested defaults: 1=30/360 for amortizing transactions OR 3=Act/Act. for nonamort.
ACCRUED_INTEREST NUMBER

The interest accrued on the account
ACTUAL_HOLDING_PERIOD NUMBER (5)
Actual number of days bank holds certain financial transactions. Used in haircut calculation.
ACT_DAYS_REPR NUMBER (6)
Actual Days between remargining/repricing. Used in haircut calculation.
ADJUSTABLE_TYPE_CODE NUMBER

Frequency or method by which the coupon or rate is adjusted.
AGENCY_DISPLAY_CODE VARCHAR2 (150)
The guaranteeing government agency.
ALLOCATED_EQUITY NUMBER

Allocated equity; typically average balance * product-specific rate
ALLOC_CAP_E NUMBER

Minimum allocated capital in entered currency
ALLOC_CAP_F NUMBER

Minimum allocated capital denominated in Functional currency.
AMRT_TERM NUMBER

Term upon which amortization is based - units specified by Amrt_term_mult.
AMRT_TERM_MULT VARCHAR2 (30)
Units (days or months or years) in which Amrt_Term is specified.
AMRT_TYPE_CODE NUMBER

Method of amortizing principal and interest.
ATM_EXP NUMBER

Automated Teller Machine expense; typically based on number of Automated Teller Machine transactions * unit cost
AVG_BOOK_BAL NUMBER

Average gross book balance for latest month.
AVG_NET_BOOK_BAL NUMBER

Average book balance - net of participations - for latest month.
BANK_DISPLAY_CODE VARCHAR2 (150)
The bank which owns the transaction.
BRANCH_CODE VARCHAR2 (30)
The branch where the account currently resides.
BRANCH_PLATFORM_EXP NUMBER

Fixed cost per product or # of transactions * unit cost
BRANCH_TELLER_EXP NUMBER

Branch Teller Expense: typically based on the number of teller transactions * unit cost
CALL_CENTER_EXP NUMBER

Call center expense; typically based on number of calls * unit cost
CHANNEL_DISPLAY_CODE VARCHAR2 (150)
Channel
CMO_TRANCHE_DISPLAY_CODE VARCHAR2 (150)
Specific tranche of Collateralized Mortgage Obligation issue.
COLLATERAL_DISPLAY_CODE VARCHAR2 (150)
Type of property assigned as collateral to secure loan.
CCTR_ORG_DISPLAY_CODE VARCHAR2 (150)
Company Cost Center Organization
COMPOUND_BASIS_CODE NUMBER

Frequency by which interest is compounded.
CONTRIB_AFTER_CAPITAL_CHG NUMBER

Contribution after capital charge; typically Account Contribution - Allocated Equity * hurdle rate
COUNTRY_GEOGRAPHY_DISPLAY_CODE VARCHAR2 (150)
Identifies which country is being referenced on the Sovereign and Bank lookup tables
CREDIT_RATING_DISPLAY_CODE VARCHAR2 (150)
Published credit ratings of borrower/issuer.
CREDIT_STATUS_DISPLAY_CODE VARCHAR2 (150)
Current performance status of the loan.
CUR_BOOK_BAL NUMBER

Current gross book balance.
CUR_GROSS_RATE NUMBER

Current rate on the instrument.(i.e. owned by the customer).
CUR_NET_BOOK_BAL NUMBER

Current book balance- net of participations.
CUR_NET_PAR_BAL NUMBER

Current par value- net of participations.
CUR_NET_RATE NUMBER

Current nominal interest rate on instrument owed to or paid by the financial institution.
CUR_OAS NUMBER

Option Adjusted Spread, as calculated from the as-of-date.
CUR_PAR_BAL NUMBER

Current gross par value.
CUR_PAYMENT NUMBER

Periodic principal and interest payment associated with gross balance. Principal portion only for level principal amort. type.
CUR_STATIC_SPREAD NUMBER

Static spread, as calculated from the as-of date.
CUR_TP_PER_ADB NUMBER

Average Daily Balance for Current Transfer Pricing Repricing Period - used in selected Transfer Pricing methods - with Mid-Period Repricing option.
CUR_YIELD NUMBER

Effective annual yield based on book value.
CUSIP_NUMBER VARCHAR2 (10)
Unique Committee on Uniform Security value that identifies a security
CUSTOMER_DISPLAY_CODE VARCHAR2 (150)
Unique numeric identifier of the Customer
DATA_PROCESSING_EXP NUMBER

Data processing expense; typically based on number of transactions * unit cost
DEFERRED_CUR_BAL NUMBER

Current Unamortized Deferred Balance associated with Instrument (i.e. Premium or Discount or Fees or etc...).
DEFERRED_ORG_BAL NUMBER

Original Deferred Balance associated with Instrument (i.e. Premium or Discount or Fees or etc...).
DIST_FR_LIFE_CAP NUMBER

Spread between the current gross rate and the Lifetime Rate Cap.
EFFECTIVE_MATURITY NUMBER

Imported maturity value for Banks electing to use the Advanced Approach
EFFECTIVE_MATURITY_MULT VARCHAR2 (30)
Effective Maturity can be in Days, Months or Years. Multiplier will have values like Days (D), Months (M), and Years (Y).
ELECTRONIC_BANKING_EXP NUMBER

Electronic banking expense; typically based on number of electronic transactions * unit cost
EQUITY_CREDIT NUMBER

Equity credit for the account; typically Allocated Equity * equity credit rate
GEOGRAPHY_DISPLAY_CODE VARCHAR2 (150)
Geography
GROSS_FEE_INCOME NUMBER

Sum of fee income components (before waivers)
HEDGE_PORTFOLIO_SET NUMBER

Identifies the portfolio being hedged.
HELD_FOR_SALE_DISPLAY_CODE VARCHAR2 (150)
Flag indicating if an instrument is held for sale.
HISTORIC_OAS NUMBER

Historic Option Adjusted Spread
HISTORIC_STATIC_SPREAD NUMBER

Static spread, as calculated from the origination date.
INSTRUMENT_TYPE_CODE NUMBER

Instrument category (record type).
INTEREST_INC_EXP NUMBER

Interest income/expense; typically average balance * interest rate
INTEREST_RATE_CODE NUMBER

Index to which interest rate is contractually tied.
INT_TYPE_CODE NUMBER

Timing of Interest Payment.
ISSUER_DISPLAY_CODE VARCHAR2 (150)
Name of issuer.
ISSUE_DATE DATE

Date on which the instrument was issued by the origination institution. For rolled instruments the date last rolled.
ITEM_PROCESSING_EXP NUMBER

Item Processing Expense; typically a set expense for the type or item
LAST_PAYMENT_DATE DATE

Date of Payment Immediately Prior to As of Date.
LAST_REPRICE_DATE DATE

Date upon which adjustable instruments last repriced.
LINE_ITEM_DISPLAY_CODE VARCHAR2 (150)
Line Item
LIQUIDITY_CLASS_DISPLAY_CODE VARCHAR2 (150)
Classification for liquidity reporting.
LOAN_LOSS_PROVISION NUMBER

Loan loss provision for the account; typically average balance * product-specific rate
LOAN_LOSS_RESERVE NUMBER

Loan Loss Reserve for the account; typically average balance * product specific rate
LRD_BALANCE NUMBER

Par Balance as of the Last Repricing Date, used in Transfer Pricing Cash Flow Methods.
MARGIN NUMBER

Contractual spread above or below pricing index
MARGIN_GROSS NUMBER

Contractual spread above or below pricing index applied to CUR_GROSS_RATE
MARGIN_T_RATE NUMBER

Margin Transfer Rate
MARKET_PRICE NUMBER

Current market price carried on accounting system. ( i.e. 100 x market value / book value )
MARKET_VALUE NUMBER

Calculated market value price (i.e. 100 x market value / current net par balance).
MATCHED_SPREAD NUMBER

Interest margin on product. For assets = Current net rate - Transfer rate OR Liabilities = Transfer rate - Current net Rate.
MATURITY_DATE DATE

Original contractual specified maturity date of instrument.
MKT_VS_BOOK_BAL NUMBER

Ratio of market value to book value.
NATURAL_ACCOUNT_DISPLAY_CODE VARCHAR2 (150)
Natural Account
NEG_AMRT_AMT NUMBER

Total amount of principal increase due to negative amortization.
NEG_AMRT_EQ_DATE DATE

Date at which current payment necessary to fully amortize the instrument will be re-computed.
NEG_AMRT_EQ_FREQ NUMBER

Frequency at which current payment necessary to fully amortize the instrument is re-computed.
NEG_AMRT_EQ_MULT VARCHAR2 (30)
Units (days or months or years) of Neg_amrt_eq_freq.
NEG_AMRT_LIMIT NUMBER

Maximum negative amortization allowed as a percentage of the original balance
NET_FEE_INCOME NUMBER

Gross Fee Income - Waived Fees
NET_INT_MARGIN NUMBER

Net interest margin; typically Transfer Charge/Credit + Interest Income/Expense - Loan Loss Provision
NET_MARGIN_CODE NUMBER

Defines relationship between CUR_GROSS_RATE and CUR_NET_RATE for Risk Manager processing
NEXT_PAYMENT_DATE DATE

Date upon which the next scheduled payment is due.
NEXT_REPRICE_DATE DATE

Date upon which adjustable instuments will next reprice.
ORG_BOOK_BAL NUMBER

Gross book balance at date of origination. Rule of 78s should exclude add on interest.
ORG_MARKET_VALUE NUMBER

Market Value as of originaton date.
ORG_NET_BOOK_BAL NUMBER

Book value - net of participations, at date of origination
ORG_NET_PAR_BAL NUMBER

Par value - net of participations, at date of of origination
ORG_PAR_BAL NUMBER

Gross par value at date of purchase. Rule of 78s should exclude add on interest.
ORG_PAYMENT_AMT NUMBER

Original payment amount.
ORG_RATE NUMBER

Contractual interest rate at origination date.
ORG_TERM NUMBER

Contractual term at origination date
ORG_TERM_MULT VARCHAR2 (30)
Units (days or months or years) of Org_term.
ORG_WAM_TERM NUMBER

Weighted average maturity of underlying loan collateral at origination.
ORG_WAM_TERM_MULT VARCHAR2 (30)
Units (days or months or years) of Org_wam_term.
ORIGINATION_DATE DATE

Date the current institution originated or acquired the instrument. For rolled instruments the greater of date last rolled or date acquired.
OTHER_ACCOUNT_EXP NUMBER

Additional expenses applied to the account
OTHER_PROCESSING_EXP NUMBER

Additional processing expenses applied to the account
PERCENT_SOLD NUMBER

Total percent of balance sold to investors.
PLEDGED_STATUS_DISPLAY_CODE VARCHAR2 (150)
Code identifying whether and to whom the security is pledged.
PMT_ADJUST_DATE DATE

Date of next payment adjustment on an adjustable rate instrument.
PMT_CHG_FREQ NUMBER

The frequency at which the payment adjusts.
PMT_CHG_FREQ_MULT VARCHAR2 (30)
Units (days or months or years) of Pmt_chg_freq.
PMT_DECR_CYCLE NUMBER

Maximum payment decrease allowed during a repricing cycle of an adjustable rate instrument.
PMT_DECR_LIFE NUMBER

Maximum payment decrease allowed during life of an adjustable rate instrument.
PMT_FREQ NUMBER

Frequency of payment (Principal and Interest, Interest or Principal).
PMT_FREQ_MULT VARCHAR2 (30)
Units (days or months or years) of Pmt_freq.
PMT_INCR_CYCLE NUMBER

Maximum payment increase allowed during a repricing cycle on an adjustable rate instrument.
PMT_INCR_LIFE NUMBER

Maximum payment increase allowed during the life of an adjustable rate instrument.
POOL_AGE NUMBER

Age of Pool.
POOL_AGE_MULT VARCHAR2 (30)
Units (days or months or years) of Pool_age_c.
POOL_NBR NUMBER

Issuers pool number.
PRIOR_TP_PER_ADB NUMBER

Average Daily Balance for Prior Transfer Pricing Repricing Period - used in selected Transfer Pricing methods - with Mid-Period Repricing
PRODUCT_DISPLAY_CODE VARCHAR2 (150)
Product
PRODUCT_TYPE_DISPLAY_CODE VARCHAR2 (150)
The specific type of product given an instrument type.
PURCHASE_PRICE NUMBER

Price as % of par at date of purchase (price per 100).
RATE_CAP_LIFE NUMBER

Maximum rate allowed during life of the instrument.
RATE_CHG_MIN NUMBER

Minimum change in repricing index necessary for a change in the interest rate.
RATE_CHG_RND_CODE NUMBER

Factor to which the rate change on an adjustable instrument is rounded.
RATE_CHG_RND_FAC NUMBER

Method used for rounding of interest rate change.
RATE_DECR_CYCLE NUMBER

Maximum amount rate can decrease during the repricing cycle of an adjustable rate instrument.
RATE_DECR_YEAR NUMBER

Maximum rate decrease allowed on an adjustable product per year.
RATE_FLOOR_LIFE NUMBER

Minimum rate for life of the instrument.
RATE_INCR_CYCLE NUMBER

Maximum interest rate increase allowed during the cycle on an adjustable rate instrument.
RATE_INCR_YEAR NUMBER

Maximum interest rate increase allowed during a year for an adjustable rate instrument.
RATE_SET_LAG NUMBER

Period by which the interest re-calculation lags the date of the interest rate used for calculation.
RATE_SET_LAG_MULT VARCHAR2 (30)
Units (days or months or years) of Rate_set_lag.
REASON_CLOSED_CODE VARCHAR2 (30)
Indicates the reason the customer gave for closing the account
RECORD_COUNT NUMBER

The number of source transaction records represented by each record.
REMAIN_NO_PMTS NUMBER

Remaining Number of Payments.
REMAIN_TERM NUMBER

Period until the instrument matures.
REMAIN_TERM_MULT VARCHAR2 (30)
Units (days or months or years) of Remain_term_c.
REPRICE_FREQ NUMBER

Contractual frequency of rate adjustment.
REPRICE_FREQ_MULT VARCHAR2 (30)
Units (days or months or years) of Reprice_freq.
RESERVE_CHARGE_CREDIT NUMBER

Charge or credit for funds based on the loan loss reserve balance
RETAIL_EXP NUMBER

Retail operations expense; typically a fixed cost per product or number of transactions * unit cost
RETURN_ITEMS NUMBER

Number of return items
RETURN_ON_EQUITY NUMBER

Return on equity for the account; typically Account Contribution / Allocated Equity (annualized by 12)
RWA_E NUMBER

Calculated value of Risk Weighted Asset in entered Currency
RWA_F NUMBER

Risk Weighted Average calculated and converted to the Functional Currency
SETTLEMENT_DATE DATE

Date purchase of securities is settled.
SOURCE_RECORD_IDENTIFIER VARCHAR2 (50)
Unique identifier for the record from the source system.
SPECIFIC_PROVISION NUMBER

Provision expense specifically allocated for a given asset.
TAX_EXEMPT_PCT NUMBER

Percent of interest that is tax exempt.
TAX_EXP NUMBER

Tax Expense
TEASER_END_DATE DATE

Termination date of rate tease period.
TOTAL_ACCOUNT_EXP NUMBER

Sum of all account expenses
TOTAL_DISTRIBUTION_EXP NUMBER

Sum of distribution related expenses for the account
TOTAL_FEES NUMBER

The total fees for the current Update period
TOTAL_PROCESS_EXP NUMBER

Sum of Data Processing, Item Processing, Retail Operations, Deposit Insurance and Other Processing expenses
TOTAL_TRANSACTIONS NUMBER

Total number of account transactions
TRANSFER_CHARGE_CREDIT NUMBER

Transfer Charge Credit
TRANSFER_RATE NUMBER

The associated transfer rate for the account.
TRAN_RATE_REM_TERM NUMBER

The associated remaining term transfer rate for the account.
T_RATE_INT_RATE_CODE NUMBER

Transfer Rate Interest Rate Code.
USER_DIM10_DISPLAY_CODE VARCHAR2 (150)
User Dimension10
USER_DIM1_DISPLAY_CODE VARCHAR2 (150)
User Dimension1
USER_DIM2_DISPLAY_CODE VARCHAR2 (150)
User Dimension2
USER_DIM3_DISPLAY_CODE VARCHAR2 (150)
User Dimension3
USER_DIM4_DISPLAY_CODE VARCHAR2 (150)
User Dimension4
USER_DIM5_DISPLAY_CODE VARCHAR2 (150)
User Dimension5
USER_DIM6_DISPLAY_CODE VARCHAR2 (150)
User Dimension6
USER_DIM7_DISPLAY_CODE VARCHAR2 (150)
User Dimension7
USER_DIM8_DISPLAY_CODE VARCHAR2 (150)
User Dimension8
USER_DIM9_DISPLAY_CODE VARCHAR2 (150)
User Dimension9
WAIVED_FEES NUMBER

Sum of fee income waiver components
ALPHANUMERIC_MEASURE01 VARCHAR2 (4000)
Alphanumeric Measure1
ALPHANUMERIC_MEASURE02 VARCHAR2 (4000)
Alphanumeric Measure2
ALPHANUMERIC_MEASURE03 VARCHAR2 (4000)
Alphanumeric Measure3
ALPHANUMERIC_MEASURE04 VARCHAR2 (4000)
Alphanumeric Measure4
ALPHANUMERIC_MEASURE05 VARCHAR2 (4000)
Alphanumeric Measure5
ALPHANUMERIC_MEASURE06 VARCHAR2 (4000)
Alphanumeric Measure6
ALPHANUMERIC_MEASURE07 VARCHAR2 (4000)
Alphanumeric Measure7
ALPHANUMERIC_MEASURE08 VARCHAR2 (4000)
Alphanumeric Measure8
ALPHANUMERIC_MEASURE09 VARCHAR2 (4000)
Alphanumeric Measure9
ALPHANUMERIC_MEASURE10 VARCHAR2 (4000)
Alphanumeric Measure10
DATE_MEASURE01 DATE

Date Measure1
DATE_MEASURE02 DATE

Date Measure2
DATE_MEASURE03 DATE

Date Measure3
DATE_MEASURE04 DATE

Date Measure4
DATE_MEASURE05 DATE

Date Measure5
DATE_MEASURE06 DATE

Date Measure6
DATE_MEASURE07 DATE

Date Measure7
DATE_MEASURE08 DATE

Date Measure8
DATE_MEASURE09 DATE

Date Measure9
DATE_MEASURE10 DATE

Date Measure10
DEFAULT_EST_LOSS NUMBER

Percentage value derived by users, which determines the estimated loss for an asset in default
DEFAULT_FLAG VARCHAR2 (30)
Default Flag indicates whether or not an asset is in default
DFLT_LGD_ACTUAL NUMBER

Actual Loss Given Default value for an asset is in default
NUMERIC_MEASURE01 NUMBER

Numeric Measure1
NUMERIC_MEASURE02 NUMBER

Numeric Measure2
NUMERIC_MEASURE03 NUMBER

Numeric Measure3
NUMERIC_MEASURE04 NUMBER

Numeric Measure4
NUMERIC_MEASURE05 NUMBER

Numeric Measure5
NUMERIC_MEASURE06 NUMBER

Numeric Measure6
NUMERIC_MEASURE07 NUMBER

Numeric Measure7
NUMERIC_MEASURE08 NUMBER

Numeric Measure8
NUMERIC_MEASURE09 NUMBER

Numeric Measure9
NUMERIC_MEASURE10 NUMBER

Numeric Measure10
SPECIFIC_PROVISION_CHARGE NUMBER

The charge to the Account Specific Provision for the given Calendar Period
CREDIT_SCORE NUMBER

Credit Score
CREDIT_SCORE_DATE DATE

Credit Score Date
CURRENT_FEES NUMBER

Current Fees
LIQUIDITY_PREMIUM_RATE NUMBER

LIQUIDITY_PREMIUM_AMT NUMBER

BASIS_RISK_COST_RATE NUMBER

BASIS_RISK_COST_AMT NUMBER

PRICING_INCENTIVE_RATE NUMBER

PRICING_INCENTIVE_AMT NUMBER

OTHER_ADJUSTMENTS_RATE NUMBER

OTHER_ADJUSTMENTS_AMT NUMBER

Query Text

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


SELECT STATUS
,      CALP_DIM_GRP_DISPLAY_CODE
,      CAL_PERIOD_NUMBER
,      CAL_PERIOD_END_DATE
,      DATASET_DISPLAY_CODE
,      SOURCE_SYSTEM_DISPLAY_CODE
,      ID_NUMBER
,      CURRENCY_CODE
,      LEDGER_DISPLAY_CODE
,      EMBEDDED_OPTIONS_FLG
,      JOINT_ACCOUNT_FLG
,      MATURITY_FLOOR_FLAG
,      OPEN_ACCOUNT_FLG
,      SENIORITY_FLAG
,      VIP_ACCOUNT_FLG
,      ACCOUNT_CONTRIB
,      ACCOUNT_CONTRIB_AFTER_TAX
,      ACCOUNT_NUMBER
,      ACCOUNT_OFFICER
,      ACCRUAL_BASIS_DISPLAY_CODE
,      ACCRUED_INTEREST
,      ACTUAL_HOLDING_PERIOD
,      ACT_DAYS_REPR
,      ADJUSTABLE_TYPE_CODE
,      AGENCY_DISPLAY_CODE
,      ALLOCATED_EQUITY
,      ALLOC_CAP_E
,      ALLOC_CAP_F
,      AMRT_TERM
,      AMRT_TERM_MULT
,      AMRT_TYPE_CODE
,      ATM_EXP
,      AVG_BOOK_BAL
,      AVG_NET_BOOK_BAL
,      BANK_DISPLAY_CODE
,      BRANCH_CODE
,      BRANCH_PLATFORM_EXP
,      BRANCH_TELLER_EXP
,      CALL_CENTER_EXP
,      CHANNEL_DISPLAY_CODE
,      CMO_TRANCHE_DISPLAY_CODE
,      COLLATERAL_DISPLAY_CODE
,      CCTR_ORG_DISPLAY_CODE
,      COMPOUND_BASIS_CODE
,      CONTRIB_AFTER_CAPITAL_CHG
,      COUNTRY_GEOGRAPHY_DISPLAY_CODE
,      CREDIT_RATING_DISPLAY_CODE
,      CREDIT_STATUS_DISPLAY_CODE
,      CUR_BOOK_BAL
,      CUR_GROSS_RATE
,      CUR_NET_BOOK_BAL
,      CUR_NET_PAR_BAL
,      CUR_NET_RATE
,      CUR_OAS
,      CUR_PAR_BAL
,      CUR_PAYMENT
,      CUR_STATIC_SPREAD
,      CUR_TP_PER_ADB
,      CUR_YIELD
,      CUSIP_NUMBER
,      CUSTOMER_DISPLAY_CODE
,      DATA_PROCESSING_EXP
,      DEFERRED_CUR_BAL
,      DEFERRED_ORG_BAL
,      DIST_FR_LIFE_CAP
,      EFFECTIVE_MATURITY
,      EFFECTIVE_MATURITY_MULT
,      ELECTRONIC_BANKING_EXP
,      EQUITY_CREDIT
,      GEOGRAPHY_DISPLAY_CODE
,      GROSS_FEE_INCOME
,      HEDGE_PORTFOLIO_SET
,      HELD_FOR_SALE_DISPLAY_CODE
,      HISTORIC_OAS
,      HISTORIC_STATIC_SPREAD
,      INSTRUMENT_TYPE_CODE
,      INTEREST_INC_EXP
,      INTEREST_RATE_CODE
,      INT_TYPE_CODE
,      ISSUER_DISPLAY_CODE
,      ISSUE_DATE
,      ITEM_PROCESSING_EXP
,      LAST_PAYMENT_DATE
,      LAST_REPRICE_DATE
,      LINE_ITEM_DISPLAY_CODE
,      LIQUIDITY_CLASS_DISPLAY_CODE
,      LOAN_LOSS_PROVISION
,      LOAN_LOSS_RESERVE
,      LRD_BALANCE
,      MARGIN
,      MARGIN_GROSS
,      MARGIN_T_RATE
,      MARKET_PRICE
,      MARKET_VALUE
,      MATCHED_SPREAD
,      MATURITY_DATE
,      MKT_VS_BOOK_BAL
,      NATURAL_ACCOUNT_DISPLAY_CODE
,      NEG_AMRT_AMT
,      NEG_AMRT_EQ_DATE
,      NEG_AMRT_EQ_FREQ
,      NEG_AMRT_EQ_MULT
,      NEG_AMRT_LIMIT
,      NET_FEE_INCOME
,      NET_INT_MARGIN
,      NET_MARGIN_CODE
,      NEXT_PAYMENT_DATE
,      NEXT_REPRICE_DATE
,      ORG_BOOK_BAL
,      ORG_MARKET_VALUE
,      ORG_NET_BOOK_BAL
,      ORG_NET_PAR_BAL
,      ORG_PAR_BAL
,      ORG_PAYMENT_AMT
,      ORG_RATE
,      ORG_TERM
,      ORG_TERM_MULT
,      ORG_WAM_TERM
,      ORG_WAM_TERM_MULT
,      ORIGINATION_DATE
,      OTHER_ACCOUNT_EXP
,      OTHER_PROCESSING_EXP
,      PERCENT_SOLD
,      PLEDGED_STATUS_DISPLAY_CODE
,      PMT_ADJUST_DATE
,      PMT_CHG_FREQ
,      PMT_CHG_FREQ_MULT
,      PMT_DECR_CYCLE
,      PMT_DECR_LIFE
,      PMT_FREQ
,      PMT_FREQ_MULT
,      PMT_INCR_CYCLE
,      PMT_INCR_LIFE
,      POOL_AGE
,      POOL_AGE_MULT
,      POOL_NBR
,      PRIOR_TP_PER_ADB
,      PRODUCT_DISPLAY_CODE
,      PRODUCT_TYPE_DISPLAY_CODE
,      PURCHASE_PRICE
,      RATE_CAP_LIFE
,      RATE_CHG_MIN
,      RATE_CHG_RND_CODE
,      RATE_CHG_RND_FAC
,      RATE_DECR_CYCLE
,      RATE_DECR_YEAR
,      RATE_FLOOR_LIFE
,      RATE_INCR_CYCLE
,      RATE_INCR_YEAR
,      RATE_SET_LAG
,      RATE_SET_LAG_MULT
,      REASON_CLOSED_CODE
,      RECORD_COUNT
,      REMAIN_NO_PMTS
,      REMAIN_TERM
,      REMAIN_TERM_MULT
,      REPRICE_FREQ
,      REPRICE_FREQ_MULT
,      RESERVE_CHARGE_CREDIT
,      RETAIL_EXP
,      RETURN_ITEMS
,      RETURN_ON_EQUITY
,      RWA_E
,      RWA_F
,      SETTLEMENT_DATE
,      SOURCE_RECORD_IDENTIFIER
,      SPECIFIC_PROVISION
,      TAX_EXEMPT_PCT
,      TAX_EXP
,      TEASER_END_DATE
,      TOTAL_ACCOUNT_EXP
,      TOTAL_DISTRIBUTION_EXP
,      TOTAL_FEES
,      TOTAL_PROCESS_EXP
,      TOTAL_TRANSACTIONS
,      TRANSFER_CHARGE_CREDIT
,      TRANSFER_RATE
,      TRAN_RATE_REM_TERM
,      T_RATE_INT_RATE_CODE
,      USER_DIM10_DISPLAY_CODE
,      USER_DIM1_DISPLAY_CODE
,      USER_DIM2_DISPLAY_CODE
,      USER_DIM3_DISPLAY_CODE
,      USER_DIM4_DISPLAY_CODE
,      USER_DIM5_DISPLAY_CODE
,      USER_DIM6_DISPLAY_CODE
,      USER_DIM7_DISPLAY_CODE
,      USER_DIM8_DISPLAY_CODE
,      USER_DIM9_DISPLAY_CODE
,      WAIVED_FEES
,      ALPHANUMERIC_MEASURE01
,      ALPHANUMERIC_MEASURE02
,      ALPHANUMERIC_MEASURE03
,      ALPHANUMERIC_MEASURE04
,      ALPHANUMERIC_MEASURE05
,      ALPHANUMERIC_MEASURE06
,      ALPHANUMERIC_MEASURE07
,      ALPHANUMERIC_MEASURE08
,      ALPHANUMERIC_MEASURE09
,      ALPHANUMERIC_MEASURE10
,      DATE_MEASURE01
,      DATE_MEASURE02
,      DATE_MEASURE03
,      DATE_MEASURE04
,      DATE_MEASURE05
,      DATE_MEASURE06
,      DATE_MEASURE07
,      DATE_MEASURE08
,      DATE_MEASURE09
,      DATE_MEASURE10
,      DEFAULT_EST_LOSS
,      DEFAULT_FLAG
,      DFLT_LGD_ACTUAL
,      NUMERIC_MEASURE01
,      NUMERIC_MEASURE02
,      NUMERIC_MEASURE03
,      NUMERIC_MEASURE04
,      NUMERIC_MEASURE05
,      NUMERIC_MEASURE06
,      NUMERIC_MEASURE07
,      NUMERIC_MEASURE08
,      NUMERIC_MEASURE09
,      NUMERIC_MEASURE10
,      SPECIFIC_PROVISION_CHARGE
,      CREDIT_SCORE
,      CREDIT_SCORE_DATE
,      CURRENT_FEES
,      LIQUIDITY_PREMIUM_RATE
,      LIQUIDITY_PREMIUM_AMT
,      BASIS_RISK_COST_RATE
,      BASIS_RISK_COST_AMT
,      PRICING_INCENTIVE_RATE
,      PRICING_INCENTIVE_AMT
,      OTHER_ADJUSTMENTS_RATE
,      OTHER_ADJUSTMENTS_AMT
FROM FEM.FEM_MORTGAGE_BACK_SEC_T;

Dependencies

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FEM.FEM_MORTGAGE_BACK_SEC_T does not reference any database object

FEM.FEM_MORTGAGE_BACK_SEC_T is referenced by following:

SchemaAPPS
SynonymFEM_MORTGAGE_BACK_SEC_T