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View: XTR_BOND_ISSUES_V
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SELECT ISSUER
, BOND_ISSUE_CODE
, FIRST_COUPON_DATE
, MATURITY_DATE
, NO_OF_COUPONS_PER_YEAR
, COUPON_RATE
, CURRENCY
, CREATED_BY
, CREATED_ON
, AUTHORISED
, YEAR_BASIS
, RISK_GROUP
, COUPON_TYPE
, DESCRIPTION
, UPDATED_BY
, UPDATED_ON
, AUDIT_INDICATOR
, CALC_TYPE
, RIC_CODE
, BOND_OR_DEBENTURE_ISSUE
, YEAR_CALC_TYPE
, ACCRUED_INT_YEAR_CALC_BASIS
, FORCE_MONTH_END_COUPONS
, COMMENCE_DATE
, LAST_COUPON_DATE
, SETTLEMENT_BASIS
, SECURITY_ID
, PRICE_ROUNDING
, YIELD_ROUNDING
, PRICE_ROUND_TYPE
, YIELD_ROUND_TYPE
, CALC_ROUNDING
, MARGIN
, MARKET_DATA_SET
, PRICING_MODEL
, ATTRIBUTE_CATEGORY
, ATTRIBUTE1
, ATTRIBUTE2
, ATTRIBUTE3
, ATTRIBUTE4
, ATTRIBUTE5
, ATTRIBUTE6
, ATTRIBUTE7
, ATTRIBUTE8
, ATTRIBUTE9
, ATTRIBUTE10
, ATTRIBUTE11
, ATTRIBUTE12
, ATTRIBUTE13
, ATTRIBUTE14
, ATTRIBUTE15
, ROUNDING_TYPE
, DAY_COUNT_TYPE
, BENCHMARK_RATE
, FLOAT_MARGIN
, RATE_FIXING_DAY
, MATURE_SETTLEMENT_BASIS
, CALLABLE_FLAG
FROM XTR_BOND_ISSUES
Columns
Name |
ISSUER |
BOND_ISSUE_CODE |
FIRST_COUPON_DATE |
MATURITY_DATE |
NO_OF_COUPONS_PER_YEAR |
COUPON_RATE |
CURRENCY |
CREATED_BY |
CREATED_ON |
AUTHORISED |
YEAR_BASIS |
RISK_GROUP |
COUPON_TYPE |
DESCRIPTION |
UPDATED_BY |
UPDATED_ON |
AUDIT_INDICATOR |
CALC_TYPE |
RIC_CODE |
BOND_OR_DEBENTURE_ISSUE |
YEAR_CALC_TYPE |
ACCRUED_INT_YEAR_CALC_BASIS |
FORCE_MONTH_END_COUPONS |
COMMENCE_DATE |
LAST_COUPON_DATE |
SETTLEMENT_BASIS |
SECURITY_ID |
PRICE_ROUNDING |
YIELD_ROUNDING |
PRICE_ROUND_TYPE |
YIELD_ROUND_TYPE |
CALC_ROUNDING |
MARGIN |
MARKET_DATA_SET |
PRICING_MODEL |
ATTRIBUTE_CATEGORY |
ATTRIBUTE1 |
ATTRIBUTE2 |
ATTRIBUTE3 |
ATTRIBUTE4 |
ATTRIBUTE5 |
ATTRIBUTE6 |
ATTRIBUTE7 |
ATTRIBUTE8 |
ATTRIBUTE9 |
ATTRIBUTE10 |
ATTRIBUTE11 |
ATTRIBUTE12 |
ATTRIBUTE13 |
ATTRIBUTE14 |
ATTRIBUTE15 |
ROUNDING_TYPE |
DAY_COUNT_TYPE |
BENCHMARK_RATE |
FLOAT_MARGIN |
RATE_FIXING_DAY |
MATURE_SETTLEMENT_BASIS |
CALLABLE_FLAG |