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Object Name: | FEM_CUST_BOND_PRICES_T |
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Object Type: | TABLE |
Owner: | FEM |
Subobject Name: | |
Status: | VALID |
FEM_CUST_BOND_PRICES_T is an interface table for loading and updating Analytic Customer Bond Prices data into the FEM_CUST_BOND_PRICES 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 Customer Bond Prices Data
Category: BUSINESS_ENTITY FEM_FACT_REPOSITORY
Tablespace: | APPS_TS_TX_DATA |
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PCT Free: | 10 |
PCT Used: |
Index | Type | Uniqueness | Tablespace | Column |
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FEM_CUST_BOND_PRICES_T_PK | NORMAL | UNIQUE | APPS_TS_TX_IDX |
CALP_DIM_GRP_DISPLAY_CODE
CAL_PERIOD_NUMBER CAL_PERIOD_END_DATE DATASET_DISPLAY_CODE SOURCE_SYSTEM_DISPLAY_CODE LEDGER_DISPLAY_CODE CUSTOMER_DISPLAY_CODE BOND_ID |
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 |
LEDGER_DISPLAY_CODE | VARCHAR2 | (150) | Yes | Ledger |
CUSTOMER_DISPLAY_CODE | VARCHAR2 | (150) | Yes | Unique numeric identifier of the Customer |
BOND_ID | VARCHAR2 | (50) | Yes | Identifier of each bond |
BOND_TYPE_CODE | VARCHAR2 | (30) | Yes | Type of Bond or Fixed Income Instrument |
CURRENCY_CODE | VARCHAR2 | (15) | Yes | Currency Code |
BOND_PRICE_DATE | DATE | Bond Pricing Date | ||
BOND_TERM | NUMBER | Original Term of Bond | ||
BOND_TERM_MULT | VARCHAR2 | (30) | Original Term multiplier of Bond | |
COUPON_RATE | NUMBER | Current Coupon Rate | ||
CURRENT_PRICE | NUMBER | Current Price of the Bond (Value) | ||
ISSUE_PRICE | NUMBER | Issue price of the Bond | ||
REDEMPTION_PRICE | NUMBER | Bond Redemption Price (Value) | ||
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 | ||
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 |
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
, LEDGER_DISPLAY_CODE
, CUSTOMER_DISPLAY_CODE
, BOND_ID
, BOND_TYPE_CODE
, CURRENCY_CODE
, BOND_PRICE_DATE
, BOND_TERM
, BOND_TERM_MULT
, COUPON_RATE
, CURRENT_PRICE
, ISSUE_PRICE
, REDEMPTION_PRICE
, 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
, NUMERIC_MEASURE01
, NUMERIC_MEASURE02
, NUMERIC_MEASURE03
, NUMERIC_MEASURE04
, NUMERIC_MEASURE05
, NUMERIC_MEASURE06
, NUMERIC_MEASURE07
, NUMERIC_MEASURE08
, NUMERIC_MEASURE09
, NUMERIC_MEASURE10
FROM FEM.FEM_CUST_BOND_PRICES_T;
FEM.FEM_CUST_BOND_PRICES_T does not reference any database object
FEM.FEM_CUST_BOND_PRICES_T is referenced by following:
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