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Object Name: | XTR_R_DEALS_V |
---|---|
Object Type: | VIEW |
Owner: | APPS |
FND Design Data: | XTR.XTR_R_DEALS_V |
Subobject Name: | |
Status: | VALID |
Oracle Corporation does not support access to Oracle
applications data using this object, except from standard Oracle Applications programs.
Internal
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
SWAP_DEPO_ADJUSTMENT | NUMBER | |||
SWAP_DEPO_FLAG | VARCHAR2 | (1) | ||
SWAP_DEPO_INT_RATE | NUMBER | |||
SWAP_DEPO_TOTAL_RECEIPT | NUMBER | |||
SWAP_REF | VARCHAR2 | (10) | ||
SYNTHETIC_PRINTED_YN | VARCHAR2 | (1) | ||
TAX_AMOUNT | NUMBER | |||
TAX_AMOUNT_HCE | NUMBER | |||
TAX_CODE | VARCHAR2 | (7) | ||
TAX_RATE | NUMBER | |||
TAX_SETTLED_REFERENCE | NUMBER | |||
TERM_MY | VARCHAR2 | (4) | ||
TOTAL_PRICE | NUMBER | |||
TRANSACTION_CROSS_REF | VARCHAR2 | (7) | ||
TRANSACTION_NO | NUMBER | |||
TRANSACTION_RATE | NUMBER | |||
UPDATED_BY | VARCHAR2 | (30) | ||
UPDATED_ON | DATE | |||
VALUE_DATE | DATE | |||
YEAR_BASIS | NUMBER | |||
YEAR_CALC_TYPE | VARCHAR2 | (15) | ||
YIELD_AMOUNT | NUMBER | |||
YIELD_HCE_AMOUNT | NUMBER | |||
CLIENT_ADVICE | VARCHAR2 | (1) | ||
CLIENT_CODE | VARCHAR2 | (7) | ||
CLIENT_REF | VARCHAR2 | (7) | ||
COMMENCE_DATE | DATE | |||
COMMENTS | VARCHAR2 | (255) | ||
COMPANY_CODE | VARCHAR2 | (7) | Yes | |
CONTRACT_COMMISSION | NUMBER | |||
CONTRACT_FEES | NUMBER | |||
CONTRACT_NOS | NUMBER | |||
CONTRACT_RATE | NUMBER | |||
COUPON_ACTION | VARCHAR2 | (3) | ||
COUPON_RATE | NUMBER | |||
CPARTY_ADVICE | VARCHAR2 | (1) | ||
CPARTY_CODE | VARCHAR2 | (7) | Yes | |
CPARTY_REF | VARCHAR2 | (7) | ||
CREATED_BY | VARCHAR2 | (30) | Yes | |
CREATED_ON | DATE | Yes | ||
CTY_CCY | VARCHAR2 | (15) | ||
CUM_COUPON_DATE | DATE | |||
CURRENCY | VARCHAR2 | (15) | ||
CURRENCY_BUY | VARCHAR2 | (15) | ||
CURRENCY_SELL | VARCHAR2 | (15) | ||
DEALER_CODE | VARCHAR2 | (10) | ||
DEAL_DATE | DATE | Yes | ||
DEAL_LINKING_CODE | VARCHAR2 | (8) | ||
DEAL_NO | NUMBER | Yes | ||
DEAL_SUBTYPE | VARCHAR2 | (7) | Yes | |
DEAL_TYPE | VARCHAR2 | (7) | Yes | |
DISCOUNT | VARCHAR2 | (1) | ||
DRAWER_CODE | VARCHAR2 | (7) | ||
DRAWER_NAME | VARCHAR2 | (20) | ||
DUAL_AUTHORISATION_BY | VARCHAR2 | (30) | ||
DUAL_AUTHORISATION_ON | DATE | |||
ENDORSER_CODE | VARCHAR2 | (7) | ||
ENDORSER_NAME | VARCHAR2 | (20) | ||
ENTER_INTO_SWAP | VARCHAR2 | (1) | ||
EXCHANGE_CODE | VARCHAR2 | (7) | ||
EXERCISE | VARCHAR2 | (1) | ||
EXPIRY_DATE | DATE | |||
EXTERNAL_COMMENTS | VARCHAR2 | (255) | ||
EXTERNAL_CPARTY_NO | VARCHAR2 | (15) | ||
FACE_VALUE_AMOUNT | NUMBER | |||
FACE_VALUE_HCE_AMOUNT | NUMBER | |||
FIRST_REVAL | VARCHAR2 | (1) | ||
FIXED_OR_FLOATING_RATE | VARCHAR2 | (5) | ||
FIXED_TERM_MY | VARCHAR2 | (3) | ||
FRA_DESCRIPTION | VARCHAR2 | (20) | ||
FREQUENCY | NUMBER | |||
FXD_DEAL_NO | NUMBER | |||
FXO_DEAL_NO | NUMBER | |||
FX_COVER_CROSS_REF | NUMBER | |||
FX_PD_DEAL_NO | NUMBER | |||
FX_REVALUED_ON_DATE | DATE | |||
FX_RO_DEAL_NO | NUMBER | |||
FX_SUBSIDIARY_BALANCE_AMOUNT | NUMBER | |||
FX_WHOLESALE_REF | NUMBER | |||
INSERT_FOR_CASHFLOW | VARCHAR2 | (1) | ||
FORWARD_HCE_AMOUNT | NUMBER | |||
INTEREST_AMOUNT | NUMBER | |||
INTEREST_CUTOFF | VARCHAR2 | (1) | ||
INTEREST_HCE_AMOUNT | NUMBER | |||
INTEREST_RATE | NUMBER | |||
INTERNAL_TICKET_NO | VARCHAR2 | (15) | ||
INT_SWAP_REF | VARCHAR2 | (10) | ||
KNOCK_EXECUTED_BY | VARCHAR2 | (10) | ||
KNOCK_EXECUTED_ON | DATE | |||
KNOCK_INSERT_TYPE | VARCHAR2 | (1) | ||
KNOCK_LEVEL | NUMBER | |||
KNOCK_TYPE | VARCHAR2 | (10) | ||
LIMIT_AMOUNT | NUMBER | |||
LIMIT_CODE | VARCHAR2 | (7) | ||
MARGIN | NUMBER | |||
MATURITY_ACCOUNT_NO | VARCHAR2 | (20) | ||
MATURITY_AMOUNT | NUMBER | |||
MATURITY_BALANCE_AMOUNT | NUMBER | |||
MATURITY_BALANCE_HCE_AMOUNT | NUMBER | |||
MATURITY_DATE | DATE | |||
MATURITY_HCE_AMOUNT | NUMBER | |||
NEXT_COUPON_DATE | DATE | |||
NI_DEAL_NO | NUMBER | |||
NI_PROFIT_LOSS | NUMBER | |||
NO_OF_DAYS | NUMBER | |||
OPTION_AMOUNT | NUMBER | |||
OPTION_COMMENCEMENT | DATE | |||
OPTION_HCE_AMOUNT | NUMBER | |||
OPTION_POINTS | NUMBER | |||
OPTION_TYPE | VARCHAR2 | (8) | ||
PAYMENT_FREQ | VARCHAR2 | (12) | ||
PAYMENT_SCHEDULE_CODE | VARCHAR2 | (7) | ||
PI_AMOUNT_DUE | NUMBER | |||
PORTFOLIO_AMOUNT | NUMBER | |||
PORTFOLIO_CODE | VARCHAR2 | (7) | ||
PREMIUM_ACCOUNT_NO | VARCHAR2 | (20) | ||
PREMIUM_ACTION | VARCHAR2 | (7) | ||
PREMIUM_AMOUNT | NUMBER | |||
PREMIUM_AMOUNT_TYPE | VARCHAR2 | (7) | ||
PREMIUM_CURRENCY | VARCHAR2 | (15) | ||
PREMIUM_DATE | DATE | |||
PREMIUM_HCE_AMOUNT | NUMBER | |||
PREMIUM_NO_OF_DAYS | NUMBER | |||
PRINCIPAL_SETTLED_BY | VARCHAR2 | (1) | ||
PRINTED_CPARTY_ADVICE | VARCHAR2 | (1) | ||
PRINTED_YN | VARCHAR2 | (1) | ||
PRODUCT_TYPE | VARCHAR2 | (10) | ||
QUICK_INPUT | VARCHAR2 | (1) | ||
RATE_BASIS | VARCHAR2 | (5) | ||
REF_CCY | VARCHAR2 | (15) | ||
RENEG_DATE | DATE | |||
RISKPARTY_CODE | VARCHAR2 | (7) | ||
RISKPARTY_LIMIT_CODE | VARCHAR2 | (7) | ||
SECURITY_NAME | VARCHAR2 | (10) | ||
SELL_ACCOUNT_NO | VARCHAR2 | (20) | ||
SELL_AMOUNT | NUMBER | |||
SELL_HCE_AMOUNT | NUMBER | |||
SETTLE_ACCOUNT_NO | VARCHAR2 | (20) | ||
SETTLE_ACTION | VARCHAR2 | (7) | ||
SETTLE_AMOUNT | NUMBER | |||
SETTLE_AMOUNT_TYPE | VARCHAR2 | (7) | ||
SETTLE_DATE | DATE | |||
SETTLE_DUAL_AUTHORISATION_BY | VARCHAR2 | (30) | ||
SETTLE_DUAL_AUTHORISATION_ON | DATE | |||
SETTLE_HCE_AMOUNT | NUMBER | |||
SETTLE_NO_OF_DAYS | NUMBER | |||
SETTLE_RATE | NUMBER | |||
SPOT_RATE_ON_VALUATION | NUMBER | |||
START_ACCOUNT_NO | VARCHAR2 | (20) | ||
START_AMOUNT | NUMBER | |||
START_DATE | DATE | |||
START_HCE_AMOUNT | NUMBER | |||
STATUS_CODE | VARCHAR2 | (10) | Yes | |
ACCEPTOR_CODE | VARCHAR2 | (7) | ||
ACCEPTOR_NAME | VARCHAR2 | (20) | ||
ACCRUAL_FROM | DATE | |||
ACCRUAL_TO | DATE | |||
ACCRUED_INTEREST_PRICE | NUMBER | |||
ACTION_STATUS | VARCHAR2 | (20) | ||
ARCHIVE_BY | VARCHAR2 | (30) | ||
ARCHIVE_DATE | DATE | |||
ATTACHMENT_EXISTS | VARCHAR2 | (1) | ||
AUDIT_INDICATOR | VARCHAR2 | (1) | ||
BASE_DATE | DATE | |||
BASE_RATE | NUMBER | |||
BKGE_SETTLED_REFERENCE | NUMBER | |||
BOND_ISSUE | VARCHAR2 | (7) | ||
BOND_PROFIT_LOSS | NUMBER | |||
BOND_RENEG_DATE | DATE | |||
BOND_RESALE_DATE | DATE | |||
BOND_SALE_DATE | DATE | |||
BROKER | VARCHAR2 | (7) | ||
BROKERAGE_AMOUNT | NUMBER | |||
BROKERAGE_AMOUNT_HCE | NUMBER | |||
BROKERAGE_CODE | VARCHAR2 | (7) | ||
BROKERAGE_CURRENCY | VARCHAR2 | (15) | ||
BROKERAGE_RATE | NUMBER | |||
BUY_ACCOUNT_NO | VARCHAR2 | (20) | ||
BUY_AMOUNT | NUMBER | |||
BUY_HCE_AMOUNT | NUMBER | |||
CALC_BASIS | VARCHAR2 | (8) | ||
CAPITAL_PRICE | NUMBER | |||
CAP_OR_FLOOR | VARCHAR2 | (5) | ||
SECURITY_ID | VARCHAR2 | (10) | ||
EXERCISE_PRICE | NUMBER |
Cut, paste (and edit) the following text to query this object:
SELECT SWAP_DEPO_ADJUSTMENT
, SWAP_DEPO_FLAG
, SWAP_DEPO_INT_RATE
, SWAP_DEPO_TOTAL_RECEIPT
, SWAP_REF
, SYNTHETIC_PRINTED_YN
, TAX_AMOUNT
, TAX_AMOUNT_HCE
, TAX_CODE
, TAX_RATE
, TAX_SETTLED_REFERENCE
, TERM_MY
, TOTAL_PRICE
, TRANSACTION_CROSS_REF
, TRANSACTION_NO
, TRANSACTION_RATE
, UPDATED_BY
, UPDATED_ON
, VALUE_DATE
, YEAR_BASIS
, YEAR_CALC_TYPE
, YIELD_AMOUNT
, YIELD_HCE_AMOUNT
, CLIENT_ADVICE
, CLIENT_CODE
, CLIENT_REF
, COMMENCE_DATE
, COMMENTS
, COMPANY_CODE
, CONTRACT_COMMISSION
, CONTRACT_FEES
, CONTRACT_NOS
, CONTRACT_RATE
, COUPON_ACTION
, COUPON_RATE
, CPARTY_ADVICE
, CPARTY_CODE
, CPARTY_REF
, CREATED_BY
, CREATED_ON
, CTY_CCY
, CUM_COUPON_DATE
, CURRENCY
, CURRENCY_BUY
, CURRENCY_SELL
, DEALER_CODE
, DEAL_DATE
, DEAL_LINKING_CODE
, DEAL_NO
, DEAL_SUBTYPE
, DEAL_TYPE
, DISCOUNT
, DRAWER_CODE
, DRAWER_NAME
, DUAL_AUTHORISATION_BY
, DUAL_AUTHORISATION_ON
, ENDORSER_CODE
, ENDORSER_NAME
, ENTER_INTO_SWAP
, EXCHANGE_CODE
, EXERCISE
, EXPIRY_DATE
, EXTERNAL_COMMENTS
, EXTERNAL_CPARTY_NO
, FACE_VALUE_AMOUNT
, FACE_VALUE_HCE_AMOUNT
, FIRST_REVAL
, FIXED_OR_FLOATING_RATE
, FIXED_TERM_MY
, FRA_DESCRIPTION
, FREQUENCY
, FXD_DEAL_NO
, FXO_DEAL_NO
, FX_COVER_CROSS_REF
, FX_PD_DEAL_NO
, FX_REVALUED_ON_DATE
, FX_RO_DEAL_NO
, FX_SUBSIDIARY_BALANCE_AMOUNT
, FX_WHOLESALE_REF
, INSERT_FOR_CASHFLOW
, FORWARD_HCE_AMOUNT
, INTEREST_AMOUNT
, INTEREST_CUTOFF
, INTEREST_HCE_AMOUNT
, INTEREST_RATE
, INTERNAL_TICKET_NO
, INT_SWAP_REF
, KNOCK_EXECUTED_BY
, KNOCK_EXECUTED_ON
, KNOCK_INSERT_TYPE
, KNOCK_LEVEL
, KNOCK_TYPE
, LIMIT_AMOUNT
, LIMIT_CODE
, MARGIN
, MATURITY_ACCOUNT_NO
, MATURITY_AMOUNT
, MATURITY_BALANCE_AMOUNT
, MATURITY_BALANCE_HCE_AMOUNT
, MATURITY_DATE
, MATURITY_HCE_AMOUNT
, NEXT_COUPON_DATE
, NI_DEAL_NO
, NI_PROFIT_LOSS
, NO_OF_DAYS
, OPTION_AMOUNT
, OPTION_COMMENCEMENT
, OPTION_HCE_AMOUNT
, OPTION_POINTS
, OPTION_TYPE
, PAYMENT_FREQ
, PAYMENT_SCHEDULE_CODE
, PI_AMOUNT_DUE
, PORTFOLIO_AMOUNT
, PORTFOLIO_CODE
, PREMIUM_ACCOUNT_NO
, PREMIUM_ACTION
, PREMIUM_AMOUNT
, PREMIUM_AMOUNT_TYPE
, PREMIUM_CURRENCY
, PREMIUM_DATE
, PREMIUM_HCE_AMOUNT
, PREMIUM_NO_OF_DAYS
, PRINCIPAL_SETTLED_BY
, PRINTED_CPARTY_ADVICE
, PRINTED_YN
, PRODUCT_TYPE
, QUICK_INPUT
, RATE_BASIS
, REF_CCY
, RENEG_DATE
, RISKPARTY_CODE
, RISKPARTY_LIMIT_CODE
, SECURITY_NAME
, SELL_ACCOUNT_NO
, SELL_AMOUNT
, SELL_HCE_AMOUNT
, SETTLE_ACCOUNT_NO
, SETTLE_ACTION
, SETTLE_AMOUNT
, SETTLE_AMOUNT_TYPE
, SETTLE_DATE
, SETTLE_DUAL_AUTHORISATION_BY
, SETTLE_DUAL_AUTHORISATION_ON
, SETTLE_HCE_AMOUNT
, SETTLE_NO_OF_DAYS
, SETTLE_RATE
, SPOT_RATE_ON_VALUATION
, START_ACCOUNT_NO
, START_AMOUNT
, START_DATE
, START_HCE_AMOUNT
, STATUS_CODE
, ACCEPTOR_CODE
, ACCEPTOR_NAME
, ACCRUAL_FROM
, ACCRUAL_TO
, ACCRUED_INTEREST_PRICE
, ACTION_STATUS
, ARCHIVE_BY
, ARCHIVE_DATE
, ATTACHMENT_EXISTS
, AUDIT_INDICATOR
, BASE_DATE
, BASE_RATE
, BKGE_SETTLED_REFERENCE
, BOND_ISSUE
, BOND_PROFIT_LOSS
, BOND_RENEG_DATE
, BOND_RESALE_DATE
, BOND_SALE_DATE
, BROKER
, BROKERAGE_AMOUNT
, BROKERAGE_AMOUNT_HCE
, BROKERAGE_CODE
, BROKERAGE_CURRENCY
, BROKERAGE_RATE
, BUY_ACCOUNT_NO
, BUY_AMOUNT
, BUY_HCE_AMOUNT
, CALC_BASIS
, CAPITAL_PRICE
, CAP_OR_FLOOR
, SECURITY_ID
, EXERCISE_PRICE
FROM APPS.XTR_R_DEALS_V;
APPS.XTR_R_DEALS_V is not referenced by any database object
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