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VIEW: XTR.XTR_DEALS#

Object Details
Object Name: XTR_DEALS#
Object Type: VIEW
Owner: XTR
Subobject Name:
Status: VALID

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Columns
Name Datatype Length Mandatory Comments
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 (30)
BOND_PROFIT_LOSS NUMBER

BOND_RENEG_DATE DATE

BOND_RESALE_DATE DATE

BROKER VARCHAR2 (7)
BROKERAGE_AMOUNT NUMBER

BROKERAGE_AMOUNT_HCE NUMBER

BROKERAGE_CODE VARCHAR2 (7)
BOND_SALE_DATE DATE

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)
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) Yes
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)
FORWARD_HCE_AMOUNT NUMBER

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)
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) Yes
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 (20)
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
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

RATE_FIXING_DATE DATE

SECURITY_ID VARCHAR2 (10)
EXERCISE_PRICE NUMBER

KNOCK_EXECUTE_DATE DATE

PRICING_MODEL VARCHAR2 (30)
MARKET_DATA_SET VARCHAR2 (30)
INITIAL_FAIR_VALUE NUMBER

EXCHANGE_RATE_ONE NUMBER

EXCHANGE_RATE_TWO NUMBER

FIRST_REVAL_BATCH_ID NUMBER (15)
LAST_REVAL_BATCH_ID NUMBER (15)
ATTRIBUTE_CATEGORY VARCHAR2 (30)
ATTRIBUTE1 VARCHAR2 (150)
ATTRIBUTE2 VARCHAR2 (150)
ATTRIBUTE3 VARCHAR2 (150)
ATTRIBUTE4 VARCHAR2 (150)
ATTRIBUTE5 VARCHAR2 (150)
ATTRIBUTE6 VARCHAR2 (150)
ATTRIBUTE7 VARCHAR2 (150)
ATTRIBUTE8 VARCHAR2 (150)
ATTRIBUTE9 VARCHAR2 (150)
ATTRIBUTE10 VARCHAR2 (150)
ATTRIBUTE11 VARCHAR2 (150)
ATTRIBUTE12 VARCHAR2 (150)
ATTRIBUTE13 VARCHAR2 (150)
ATTRIBUTE14 VARCHAR2 (150)
ATTRIBUTE15 VARCHAR2 (150)
PROFIT_LOSS NUMBER

FX_RO_PD_RATE NUMBER

FX_M1_DEAL_NO NUMBER

EXTERNAL_DEAL_ID VARCHAR2 (240)
REQUEST_ID NUMBER (15)
PROGRAM_APPLICATION_ID NUMBER (15)
PROGRAM_ID NUMBER (15)
PROGRAM_UPDATE_DATE DATE

FORCE_MONTH_END VARCHAR2 (1)
QUANTITY NUMBER

REMAINING_QUANTITY NUMBER

ROUNDING_TYPE VARCHAR2 (1)
SETTLE_ROUNDING_TYPE VARCHAR2 (1)
SETTLE_DAY_COUNT_TYPE VARCHAR2 (1)
ORIGINAL_AMOUNT NUMBER

DAY_COUNT_TYPE VARCHAR2 (1)
INCOME_TAX_CODE VARCHAR2 (7)
INCOME_TAX_RATE NUMBER

PREPAID_INTEREST VARCHAR2 (1)
INCOME_TAX_AMOUNT NUMBER

INCOME_TAX_SETTLED_REF NUMBER

CPARTY_ACCOUNT_NO VARCHAR2 (20)
MATURE_SETTLEMENT_BASIS VARCHAR2 (2)
PAYMENT_SETTLEMENT_BASIS VARCHAR2 (2)
BUY_ACCT_USE_ID NUMBER (15)
SELL_ACCT_USE_ID NUMBER (15)
MATURITY_ACCT_USE_ID NUMBER (15)
PREMIUM_ACCT_USE_ID NUMBER (15)
SETTLE_ACCT_USE_ID NUMBER (15)
START_ACCT_USE_ID NUMBER (15)
CPARTY_ACCT_USE_ID NUMBER (15)
CLIENT_ACCOUNT_NO VARCHAR2 (20)
CLIENT_ACCT_USE_ID NUMBER (15)
Query Text

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


SELECT 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
,      BROKER
,      BROKERAGE_AMOUNT
,      BROKERAGE_AMOUNT_HCE
,      BROKERAGE_CODE
,      BOND_SALE_DATE
,      BROKERAGE_CURRENCY
,      BROKERAGE_RATE
,      BUY_ACCOUNT_NO
,      BUY_AMOUNT
,      BUY_HCE_AMOUNT
,      CALC_BASIS
,      CAPITAL_PRICE
,      CAP_OR_FLOOR
,      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
,      FORWARD_HCE_AMOUNT
,      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
,      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
,      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
,      RATE_FIXING_DATE
,      SECURITY_ID
,      EXERCISE_PRICE
,      KNOCK_EXECUTE_DATE
,      PRICING_MODEL
,      MARKET_DATA_SET
,      INITIAL_FAIR_VALUE
,      EXCHANGE_RATE_ONE
,      EXCHANGE_RATE_TWO
,      FIRST_REVAL_BATCH_ID
,      LAST_REVAL_BATCH_ID
,      ATTRIBUTE_CATEGORY
,      ATTRIBUTE1
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      PROFIT_LOSS
,      FX_RO_PD_RATE
,      FX_M1_DEAL_NO
,      EXTERNAL_DEAL_ID
,      REQUEST_ID
,      PROGRAM_APPLICATION_ID
,      PROGRAM_ID
,      PROGRAM_UPDATE_DATE
,      FORCE_MONTH_END
,      QUANTITY
,      REMAINING_QUANTITY
,      ROUNDING_TYPE
,      SETTLE_ROUNDING_TYPE
,      SETTLE_DAY_COUNT_TYPE
,      ORIGINAL_AMOUNT
,      DAY_COUNT_TYPE
,      INCOME_TAX_CODE
,      INCOME_TAX_RATE
,      PREPAID_INTEREST
,      INCOME_TAX_AMOUNT
,      INCOME_TAX_SETTLED_REF
,      CPARTY_ACCOUNT_NO
,      MATURE_SETTLEMENT_BASIS
,      PAYMENT_SETTLEMENT_BASIS
,      BUY_ACCT_USE_ID
,      SELL_ACCT_USE_ID
,      MATURITY_ACCT_USE_ID
,      PREMIUM_ACCT_USE_ID
,      SETTLE_ACCT_USE_ID
,      START_ACCT_USE_ID
,      CPARTY_ACCT_USE_ID
,      CLIENT_ACCOUNT_NO
,      CLIENT_ACCT_USE_ID
FROM XTR.XTR_DEALS#;

Dependencies

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XTR.XTR_DEALS# references the following:

SchemaXTR
TableXTR_DEALS
XTR.XTR_DEALS# is referenced by following:

SchemaAPPS
TriggerXTR_AI_DEALS_T
TriggerXTR_AU_DEALS_T
TriggerXTR_BI_DEALS_T
TriggerXTR_BU_DEALS_T
SynonymXTR_DEALS