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APPS.XTR_COF_P dependencies on XTR_COF_P

Line 1: PACKAGE BODY XTR_COF_P as

1: PACKAGE BODY XTR_COF_P as
2: /* $Header: xtrcostb.pls 120.12 2005/10/24 10:47:31 eaggarwa ship $ */
3: ----------------------------------------------------------------------------------------------------------------
4: PROCEDURE SET_CURR_IG_DEAL_DETAILS(
5: P_DEAL_NUMBER IN XTR_INTERGROUP_TRANSFERS.DEAL_NUMBER%TYPE,

Line 451: XTR_COF_P.Calculate_Bond_rate(P_DEAL_NUMBER,

447: /* BOND */
448: /*--------*/
449: Elsif P_DEAL_TYPE = 'BOND' THEN
450: -- Added paramters for Interest Override feature
451: XTR_COF_P.Calculate_Bond_rate(P_DEAL_NUMBER,
452: P_MATURITY_AMOUNT,
453: P_START_AMOUNT,
454: P_TRANSACTION_RATE, -- jhung make sure it's coupon rate
455: P_START_DATE,

Line 1309: XTR_COF_P.Calculate_Bond_rate(P_DEAL_NUMBER,

1305: /* BOND */
1306: /*--------*/
1307: Elsif P_DEAL_TYPE = 'BOND' THEN
1308: -- Added the new parameter for Interest Override feature
1309: XTR_COF_P.Calculate_Bond_rate(P_DEAL_NUMBER,
1310: P_MATURITY_AMOUNT,
1311: P_START_AMOUNT,
1312: P_TRANSACTION_RATE, -- jhung make sure it's coupon rate
1313: P_START_DATE,

Line 2607: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(

2603: --
2604:
2605: end if;
2606: if nvl(L_AMOUNT,0) <> 0 or (nvl(l_total_resale,0) <> D.MATURITY_AMOUNT) then
2607: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(
2608: P_AS_AT_DATE => L_DATE,
2609: P_DEAL_NUMBER => D.DEAL_NUMBER,
2610: P_TRANSACTION_NUMBER => D.TRANSACTION_NUMBER,
2611: P_COMPANY_CODE => D.COMPANY_CODE,

Line 2673: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(

2669: L_DEAL_SUBTYPE :='FUND';
2670: end if;
2671:
2672: if nvl(L_AMOUNT,0) <> 0 then
2673: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(
2674: P_AS_AT_DATE => L_DATE,
2675: P_DEAL_NUMBER => NULL,
2676: P_TRANSACTION_NUMBER => NULL,
2677: P_COMPANY_CODE => L_COMPANY_CODE,

Line 2742: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(

2738: L_DEAL_SUBTYPE :='FUND';
2739: end if;
2740:
2741: if L_AMOUNT <>0 then
2742: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(
2743: P_AS_AT_DATE => L_DATE,
2744: P_DEAL_NUMBER => L_DEAL_NUMBER,
2745: P_TRANSACTION_NUMBER => 1,
2746: P_COMPANY_CODE => L_COMPANY_CODE,

Line 2811: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(

2807: FETCH get_calc_basis into L_CALC_BASIS;
2808: CLOSE get_calc_basis;
2809:
2810: if nvl(L_AMOUNT,0) <> 0 then
2811: XTR_COF_P.SNAPSHOT_POSITION_HISTORY(
2812: P_AS_AT_DATE => L_DATE,
2813: P_DEAL_NUMBER => R.DEAL_NUMBER,
2814: P_TRANSACTION_NUMBER => R.TRANSACTION_NUMBER,
2815: P_COMPANY_CODE => R.COMPANY_CODE,

Line 2852: /* called by XTR_COF_P.SNAPSHOT_COST_OF_FUND and trigger XTR_AI_DEALS_T */

2848:
2849: --
2850: /*******************************************************************************/
2851: /* This procedure is to calculate BOND yield rate based on ACTUAL/365. It is */
2852: /* called by XTR_COF_P.SNAPSHOT_COST_OF_FUND and trigger XTR_AI_DEALS_T */
2853: /* and XTR_AU_DEALS_T. It inputs the following information: */
2854: /* p_deal_no : XTR_DEALS.deal_no */
2855: /* p_maturity_amt : XTR_DEALS.maturity_amount */
2856: /* p_consideration: XTR_DEALS.start_amount */

Line 3421: end XTR_COF_P;

3417: END IF;
3418:
3419: END UPLOAD_AVG_RATES_RESULTS;
3420:
3421: end XTR_COF_P;