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APPS.XTR_CALC_P dependencies on XTR_CALC_P

Line 1: PACKAGE BODY XTR_CALC_P as

1: PACKAGE BODY XTR_CALC_P as
2: /* $Header: xtrcalcb.pls 120.15 2009/01/13 09:37:05 amunnuru ship $ */
3: ----------------------------------------------------------------------------------------------------------------
4: -- This is just a cover function that determines whether CALC_DAYS_RUN or
5: -- CALC_DAYS_RUN_B should be called

Line 576: XTR_CALC_P.Calc_Days_Run_C (

572: -- Changed call to Calc_Days_Run_C from Calc_Days_Run in order
573: -- to properly handle the year calc type of 'Actual/Actual-Bond'
574: -- which was introduced in patchset C.
575:
576: XTR_CALC_P.Calc_Days_Run_C (
577: l_last_coupon_date,
578: l_coupon_date,
579: l_year_calc_type,
580: l_frequency,

Line 633: XTR_CALC_P.Calc_Days_Run_C (

629: -- Changed call from Calc_Days_Run to Calc_Days_Run_C in order
630: -- to properly handle the year calc type of 'Actual/Actual-Bond'
631: -- which was introduced in patchset C.
632:
633: XTR_CALC_P.Calc_Days_Run_C (
634: l_last_coupon_date,
635: l_coupon_date,
636: l_year_calc_type,
637: l_frequency,

Line 1189: XTR_CALC_P.CALC_DAYS_RUN(pmt.START_DATE,

1185: end if;
1186: --
1187: pmt.MATURITY_DATE := l_ref_date;
1188:
1189: XTR_CALC_P.CALC_DAYS_RUN(pmt.START_DATE,
1190: pmt.MATURITY_DATE,
1191: l_year_calc_type,
1192: no_of_days,
1193: year_basis,

Line 1226: XTR_CALC_P.CALC_DAYS_RUN(pmt.START_DATE,

1222: -- Recalc interest amount
1223: l_prin_decr := 0;
1224: pmt.ADJUSTED_BALANCE := nvl(pmt.BALANCE_OUT_BF,0) + nvl(l_prin_adj,0);
1225: -- added
1226: XTR_CALC_P.CALC_DAYS_RUN(pmt.START_DATE,
1227: pmt.MATURITY_DATE,
1228: l_year_calc_type,
1229: pmt.NO_OF_DAYS,
1230: year_basis,

Line 1669: end XTR_CALC_P;

1665: END RECALC_DT_DETAILS ;
1666:
1667:
1668:
1669: end XTR_CALC_P;