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APPS.XTR_ACCRUAL_PROCESS_P dependencies on XTR_BOND_ISSUES

Line 355: from xtr_bond_issues

351: and deal_type ='BOND';
352:
353: cursor get_year_calc_type is
354: select year_calc_type
355: from xtr_bond_issues
356: where bond_issue_code=l_bond_issue;
357:
358: --
359:

Line 692: l_calc_type XTR_BOND_ISSUES.CALC_TYPE%TYPE; -- renamed l_flat_zero for COMPOUND COUPON

688: l_bond_issue VARCHAR2(7);
689: l_calc_period_end DATE;
690: l_calc_period_accrl_int NUMBER;
691: l_dda_INT NUMBER;
692: l_calc_type XTR_BOND_ISSUES.CALC_TYPE%TYPE; -- renamed l_flat_zero for COMPOUND COUPON
693: l_clean_price NUMBER;
694: l_ccy VARCHAR2(15);
695: l_cum_ex XTR_DEALS.COUPON_ACTION%TYPE;
696: l_coupon_rate NUMBER;

Line 1251: from xtr_bond_issues

1247: nvl(no_of_coupons_per_year,0),
1248: calc_type,
1249: commence_date, -- COMPOUND COUPON
1250: maturity_date -- COMPOUND COUPON
1251: from xtr_bond_issues
1252: where bond_issue_code = l_bond_issue;
1253:
1254:
1255: --------------------------------