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Object Name: | XTR_PRODUCT_TYPES |
---|---|
Object Type: | TABLE |
Owner: | XTR |
FND Design Data: | XTR.XTR_PRODUCT_TYPES |
Subobject Name: | |
Status: | VALID |
XTR_PRODUCT_TYPES contains the user-defined product types. Product types are used to identify a specific product within a deal type. Each row corresponds to one product type and its corresponding deal type. Each deal type must exist in the XTR_DEAL_TYPES table. A deal type may have many product types. A product type can also be associated to many deal types.
This table correspond to the DEAL TYPE/PROUDCT TYPES window.
Tablespace: | APPS_TS_TX_DATA |
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PCT Free: | 10 |
PCT Used: |
Index | Type | Uniqueness | Tablespace | Column |
---|---|---|---|---|
XTR_PRODUCT_TYPES_U1 | NORMAL | UNIQUE | APPS_TS_TX_IDX |
DEAL_TYPE
PRODUCT_TYPE |
XTR_PRODUCT_TYPES_N1 | NORMAL | NONUNIQUE | APPS_TS_TX_IDX | DEFAULT_PRICING_MODEL |
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
AUDIT_INDICATOR | VARCHAR2 | (1) | Not currently used | |
CALC_BASIS | VARCHAR2 | (8) | Basis on which deduction is calculated | |
CLIENT_ADVICE | VARCHAR2 | (1) | Not currently used | |
CPARTY_ADVICE | VARCHAR2 | (1) | Not currently used | |
DEAL_TYPE | VARCHAR2 | (7) | Yes | Code for high level deals |
PRODUCT_AUTH | VARCHAR2 | (1) | Yes | Flag to indicate if the product is authorized (Y), or not (N) |
PRODUCT_TYPE | VARCHAR2 | (10) | Yes | Code for products used in a deal type |
PRODUCT_DESC | VARCHAR2 | (80) | Yes | Product description |
REVAL_CROSS_REF | VARCHAR2 | (20) | Not currently used | |
UPDATED_BY | VARCHAR2 | (30) | User who last updated this record | |
UPDATED_ON | DATE | Date this record was last updated | ||
CREATED_BY | VARCHAR2 | (30) | Yes | User who created this record |
CREATED_ON | DATE | Yes | Date this record was created | |
DEFAULT_PRICING_MODEL | VARCHAR2 | (30) | Default pricing model for this product type. Derived from the CODE column of the XTR_PRICE_MODELS table. | |
DEFAULT_MARKET_DATA_SET | VARCHAR2 | (30) | Specifies the Market Data Set to be used with the Default Pricing Model for revaluation. | |
DEFAULT_MARGIN | NUMBER | Specifies the default margin for revaluation. This column is relevant for Bonds, Bond Options, Discounted Securities and Wholesale Term Money. | ||
ALLOW_REVAL_OVERWRITE_FLAG | VARCHAR2 | (1) | Yes | Specifies if the fair value of the deal calculated using this pricing model under the associated deal type can be overridden at the revaluation details level. Y=Allows overwrite. Y=Denies overwrite. |
Cut, paste (and edit) the following text to query this object:
SELECT AUDIT_INDICATOR
, CALC_BASIS
, CLIENT_ADVICE
, CPARTY_ADVICE
, DEAL_TYPE
, PRODUCT_AUTH
, PRODUCT_TYPE
, PRODUCT_DESC
, REVAL_CROSS_REF
, UPDATED_BY
, UPDATED_ON
, CREATED_BY
, CREATED_ON
, DEFAULT_PRICING_MODEL
, DEFAULT_MARKET_DATA_SET
, DEFAULT_MARGIN
, ALLOW_REVAL_OVERWRITE_FLAG
FROM XTR.XTR_PRODUCT_TYPES;
XTR.XTR_PRODUCT_TYPES does not reference any database object
XTR.XTR_PRODUCT_TYPES is referenced by following:
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