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VIEW: APPS.OKL_K_LINES_FULL_V

Object Details
Object Name: OKL_K_LINES_FULL_V
Object Type: VIEW
Owner: APPS
FND Design Data: ViewOKL.OKL_K_LINES_FULL_V
Subobject Name:
Status: VALID

View Type

A supplementary view used to simplify forms coding.

Warning: Oracle does not recommend you query or alter datausing this view. It may change dramatically in subsequent minor or major
releases.

[View Source]

Columns
Name Datatype Length Mandatory Comments
ROW_ID ROWID (10)
Row Identifier in the database
ID NUMBER
Yes Primary key column
OBJECT_VERSION_NUMBER NUMBER (9) Yes Column used for locking records during updates
SFWT_FLAG VARCHAR2 (3) Yes Indicates a value was changed in another language. Not fully implemented in 11i
CHR_ID NUMBER

Foreign key to OKC_K_HEADERS_B.
CLE_ID NUMBER

Surrogate key used for primary unique identifiers.
CLE_ID_RENEWED NUMBER

Surrogate key used for primary unique identifiers.
CLE_ID_RENEWED_TO NUMBER

ID of the renewed contract line
LSE_ID NUMBER
Yes Foreign key to OKC_LINE_STYLES_B.
LINE_NUMBER VARCHAR2 (150) Yes Sequencial line number.
STS_CODE VARCHAR2 (30) Yes Line status code defined in FND_LOOKUPS.
DISPLAY_SEQUENCE NUMBER (7) Yes Order of line within parent.
TRN_CODE VARCHAR2 (30)
Line termination code as defined in FND_LOOKUPS.
DNZ_CHR_ID NUMBER
Yes Contract ID. Denormalized for performance.
COMMENTS VARCHAR2 (1995)
User entered comment.
ITEM_DESCRIPTION VARCHAR2 (1995)
Item description.
OKE_BOE_DESCRIPTION VARCHAR2 (1995)
BOE Description of for Contract Projects
HIDDEN_IND VARCHAR2 (3)
Yes/No field to Indicate whether the line is visible on the contract or hidden and only visible in the contract management system.
PRICE_UNIT NUMBER

Price per unit.
PRICE_UNIT_PERCENT NUMBER (6)
Price unit percent.
PRICE_NEGOTIATED NUMBER

The calculated or manually adjusted rollup extended price all sublines.
PRICE_NEGOTIATED_RENEWED NUMBER

Value of PRICE_NEGOTIATED column from renewed contract line
PRICE_LEVEL_IND VARCHAR2 (3)
Yes / No field Indicating whether extended value is to be calculated and displayed at this level.
INVOICE_LINE_LEVEL_IND VARCHAR2 (3)
Yes/No field to Indicate if a single invoice line is to be generated at this level for all sublines.
DPAS_RATING VARCHAR2 (24)
DPAS rating.
BLOCK23TEXT VARCHAR2 (1995)
Government DD250 block 23 text.
EXCEPTION_YN VARCHAR2 (3) Yes Yes/No flag denoting contract line exception.
TEMPLATE_USED VARCHAR2 (150)
Name of template used.
DATE_TERMINATED DATE

Date contract was terminated.
NAME VARCHAR2 (150)
Item name.
START_DATE DATE

The beginning of the active period, one second after midnight on the date indicated.
END_DATE DATE

The end of the active period, one second before midnight on the date indicated.
UPG_ORIG_SYSTEM_REF VARCHAR2 (60)
Identifies original source of data
UPG_ORIG_SYSTEM_REF_ID NUMBER

Unique Id from original system
ATTRIBUTE_CATEGORY VARCHAR2 (90)
Descriptive flexfield category column
ATTRIBUTE1 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE2 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE3 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE4 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE5 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE6 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE7 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE8 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE9 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE10 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE11 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE12 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE13 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE14 VARCHAR2 (450)
Descriptive flexfield column
ATTRIBUTE15 VARCHAR2 (450)
Descriptive flexfield column
CREATED_BY NUMBER (15) Yes Standard who column
CREATION_DATE DATE
Yes Standard who column
LAST_UPDATED_BY NUMBER (15) Yes Standard who column
LAST_UPDATE_DATE DATE
Yes Standard who column
LAST_UPDATE_LOGIN NUMBER (15)
Standard who column
PRICE_TYPE VARCHAR2 (30)
Contract price type.
CURRENCY_CODE VARCHAR2 (15)
Currency code as defined in FND_CURRENCIES.
CURRENCY_CODE_RENEWED VARCHAR2 (15)
Currency code as defined in FND_CURRENCIES. This represents the currency in which the renewed-from line is priced. Only present in renewed lines.
DATE_RENEWED DATE

Date on which the line was renewed or renew consolidated
ORIG_SYSTEM_SOURCE_CODE VARCHAR2 (30)
Identifier of the source system
ORIG_SYSTEM_ID1 NUMBER

Unique identifier in the source system
ORIG_SYSTEM_REFERENCE1 VARCHAR2 (30)
Unique identifier in the source system
PROGRAM_APPLICATION_ID NUMBER

Standard who column
PROGRAM_ID NUMBER

Standard who column
PROGRAM_UPDATE_DATE DATE

Standard who column
REQUEST_ID NUMBER

Standard who column
PRICE_LIST_ID NUMBER

Price list identifier
PRICE_LIST_LINE_ID NUMBER

Price list line identifier
LINE_LIST_PRICE NUMBER

Line list price
ITEM_TO_PRICE_YN VARCHAR2 (3)
Item to price flag
PRICING_DATE DATE

Pricing date
PRICE_BASIS_YN VARCHAR2 (3)
Price basis flag
CONFIG_HEADER_ID NUMBER

Configuration header identifier
CONFIG_REVISION_NUMBER NUMBER

Configuration revision number
CONFIG_COMPLETE_YN VARCHAR2 (3)
Configuration complete flag
CONFIG_VALID_YN VARCHAR2 (3)
Configuration valid flag
CONFIG_TOP_MODEL_LINE_ID NUMBER

Configuration top model line identifier
CONFIG_ITEM_TYPE VARCHAR2 (30)
Configuration item type
CONFIG_ITEM_ID NUMBER

Configuration item identifier
SERVICE_ITEM_YN VARCHAR2 (3)
Service item flag
PH_PRICING_TYPE VARCHAR2 (30)
PH pricing type
PH_PRICE_BREAK_BASIS VARCHAR2 (30)
PH Price break basis
PH_MIN_QTY NUMBER

PH Minimum quantity
PH_MIN_AMT NUMBER

PH Minimum amount
PH_QP_REFERENCE_ID NUMBER

PH QP reference identifier
PH_VALUE NUMBER

PH value
PH_ENFORCE_PRICE_LIST_YN VARCHAR2 (1)
PH enforce price list flag
PH_ADJUSTMENT NUMBER

PH Adjustment
PH_INTEGRATED_WITH_QP VARCHAR2 (1)
PH integrated with QP
CUST_ACCT_ID NUMBER (15)
customer account identifier
BILL_TO_SITE_USE_ID NUMBER (15)
Bill to site use identifier
INV_RULE_ID NUMBER (15)
Invoice rule identifier
LINE_RENEWAL_TYPE_CODE VARCHAR2 (30)
Line renewal type code
SHIP_TO_SITE_USE_ID NUMBER (15)
Ship to site use identifier
PAYMENT_TERM_ID NUMBER (15)
Payment term identifier
OKL_ROW_ID ROWID (10)
Row identifier in the database
OKL_OBJECT_VERSION_NUM NUMBER (9) Yes Column used for locking records during updates
KLE_ID NUMBER

Foreign key to table OKL_K_LINES
STY_ID NUMBER

Foreign key to table OKL_STRM_TYPE_B
PRC_CODE VARCHAR2 (30)
Property class code. Foreign key to FND_LOOKUPS
FCG_CODE VARCHAR2 (30)
Funding category code. Foreign key to FND_LOOKUPS
NTY_CODE VARCHAR2 (30)
Concept type code. Foreign key to FND_LOOKUPS
ESTIMATED_OEC NUMBER (14)
Estimated original equipment cost
LAO_AMOUNT NUMBER (14)
Amount of add ons to asset
TITLE_DATE DATE

Date the title was received by the title holder for the asset
FEE_CHARGE NUMBER (14)
Fee Charge
LRS_PERCENT NUMBER (5)
Not used
INITIAL_DIRECT_COST NUMBER (14)
Direct costs such as documentation fee associated with leasing a piece of land, built-area.
PERCENT_STAKE NUMBER (5)
Not used
PERCENT NUMBER (5)
Rate for insurance premium calculation
EVERGREEN_PERCENT NUMBER (5)
Evergreen Percentage
AMOUNT_STAKE NUMBER (14)
Not used
OCCUPANCY NUMBER (20)
The percentage of occupancy of the built facility
COVERAGE NUMBER (14)
The amount of coverage for insurance premium calculation
RESIDUAL_PERCENTAGE NUMBER (5)
The percentage of original equipment cost to be used for residual value
DATE_LAST_INSPECTION DATE

Date when the built area was last inspected
DATE_SOLD DATE

Date syndication was sold to the investor
LRV_AMOUNT NUMBER (14)
Residual value insurance amount
CAPITAL_REDUCTION NUMBER

Currency amount applied to principle
DATE_NEXT_INSPECTION_DUE DATE

Next time the building will be inspected
DATE_RESIDUAL_LAST_REVIEW DATE

Date on which residual was reviewed last time
DATE_LAST_REAMORTIZATION DATE

Date on which the amortisation was restarted
VENDOR_ADVANCE_PAID NUMBER (14)
Advance rent paid to the vendor
WEIGHTED_AVERAGE_LIFE NUMBER (30)
Average life the building can stand on the ground
TRADEIN_AMOUNT NUMBER

Trade-in amount for the item/asset
BOND_EQUIVALENT_YIELD NUMBER (5)
The yield on the building lease as a percentage of return from Bonds for the same investment
TERMINATION_PURCHASE_AMOUNT NUMBER (14)
The amount paid for buyout
REFINANCE_AMOUNT NUMBER (14)
The amount used to refinance the lease of the building
YEAR_BUILT NUMBER (4)
Year the building was built.
DELIVERED_DATE DATE

Date in which the item is delivered
CREDIT_TENANT_YN VARCHAR2 (3)
Indicates whether tenant has to be credited or not. Used in real estate contracts only
DATE_LAST_CLEANUP DATE

Catchup when change of interest for fixed payment impacts interest payments
YEAR_OF_MANUFACTURE VARCHAR2 (240)
Year in which the item/asset is manufactured
COVERAGE_RATIO NUMBER (5)
Identifies the debt service coverage of the transaction
REMARKRTED_AMOUNT NUMBER (14)
the currency amount received for sale of item
GROSS_SQUARE_FOOTAGE NUMBER (30)
Gross square footage of the building located on the property
PRESCRIBED_ASSET_YN VARCHAR2 (3)
Indicates wheter asset is a prescribed asset or not
DATE_REMARKETED DATE

Date when asset remarketed
NET_RENTABLE NUMBER (14)
Net square footage of the building which tenants will pay rent on
REMARKET_MARGIN NUMBER

The margin on the remarketing amount
DATE_LETTER_ACCEPTANCE DATE

Date the customer signed the acceptance letter.
REPURCHASED_AMOUNT NUMBER (14)
The currency amount received for sale of item to partner
DATE_COMMITMENT_EXPIRATION DATE

Date the commitment expires
DATE_REPURCHASED DATE

Date when asset was repurchased
DATE_APPRAISAL DATE

Appraisal date
RESIDUAL_VALUE NUMBER (20)
Residual value
APPRAISAL_VALUE NUMBER (14)
Appraisal value
SECURED_DEAL_YN VARCHAR2 (3)
Indicates whether this is a secured deal or not
GAIN_LOSS NUMBER (4)
Flag to indicate loss or gain on the leased asset
FLOOR_AMOUNT NUMBER (14)
The absolute minimum one should expect from a repurchase or remarket sale
RE_LEASE_YN VARCHAR2 (3)
Indicates whether asset is a re-leased asset or not
PREVIOUS_CONTRACT VARCHAR2 (40)
Previous Lessors Contract Number
TRACKED_RESIDUAL NUMBER (14)
Field for tracking residual other than what is in the contract
DATE_TITLE_RECEIVED DATE

Date on which a title was received for this asset
AMOUNT NUMBER

Amount
OKL_ATTRIBUTE_CATEGORY VARCHAR2 (90)
Descriptive flexfield category
OKL_ATTRIBUTE1 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE2 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE3 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE4 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE5 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE6 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE7 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE8 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE9 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE10 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE11 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE12 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE13 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE14 VARCHAR2 (450)
Descriptive flexfield column
OKL_ATTRIBUTE15 VARCHAR2 (450)
Descriptive flexfield column
STY_ID_FOR NUMBER (10)
Not used
CLG_ID NUMBER

Foreign key to table OKL_CNTR_LVLNG_GRPS_B
OKL_CREATED_BY NUMBER (15) Yes Standard who column
OKL_CREATION_DATE DATE
Yes Standard who column
OKL_LAST_UPDATED_BY NUMBER (15) Yes Standard who column
OKL_LAST_UPDATE_DATE DATE
Yes Standard who column
OKL_LAST_UPDATE_LOGIN NUMBER (15)
Standard who column
DATE_FUNDING DATE

Date on which funding is done
DATE_FUNDING_REQUIRED DATE

Date on which funding is required
DATE_ACCEPTED DATE

Acceptance date
DATE_DELIVERY_EXPECTED DATE

Date on which delivery of asset is expected
OEC NUMBER

Original equipment cost of the asset
CAPITAL_AMOUNT NUMBER

Capital amount
RESIDUAL_GRNTY_AMOUNT NUMBER (14)
Residual guaranty amount
RESIDUAL_CODE VARCHAR2 (30)
Residual code
RVI_PREMIUM NUMBER (14)
RVI Premium
CREDIT_NATURE VARCHAR2 (30)
For revolving line of credit indicates wherer the line is 'New', 'Add' or 'Reduce'
CAPITALIZED_INTEREST NUMBER (14)
Amount of capitalized interest
CAPITAL_REDUCTION_PERCENT NUMBER (5)
Capital reduction percentage
DATE_PAY_INVESTOR_START DATE

Investor agreement - date on which payment to investor starts
PAY_INVESTOR_FREQUENCY VARCHAR2 (30)
Investor agreement - frequency of payments to investor
PAY_INVESTOR_EVENT VARCHAR2 (30)
Investor agreement - Event which starts investor payments
PAY_INVESTOR_REMITTANCE_DAYS NUMBER

Investor agreement - investor payment remittance day
FEE_TYPE VARCHAR2 (30)
Fee type for financed fees
SUBSIDY_ID NUMBER

Unique identifier for subsidy. Foreign key to OKL_SUBSIDIES_B.ID
SUBSIDY_OVERRIDE_AMOUNT NUMBER

Subsidy override amount
PRE_TAX_YIELD NUMBER

Pre tax yield
AFTER_TAX_YIELD NUMBER

After tax yield
IMPLICIT_INTEREST_RATE NUMBER

Implicit interest rate
IMPLICIT_NON_IDC_INTEREST_RATE NUMBER

Implicit non-IDC interest rate
PRE_TAX_IRR NUMBER

Pre-tax IRR
AFTER_TAX_IRR NUMBER

After tax IRR
SUB_PRE_TAX_YIELD NUMBER

subsidized pre-tax yield
SUB_AFTER_TAX_YIELD NUMBER

Subsidized after tax yield
SUB_IMPL_INTEREST_RATE NUMBER

Subsidized implicit interest rate
SUB_IMPL_NON_IDC_INT_RATE NUMBER

Subsidized implicit non-IDC interest rate
SUB_PRE_TAX_IRR NUMBER

Subsidized Pe-tax IRR
SUB_AFTER_TAX_IRR NUMBER

Subsidized after tax IRR
ITEM_INSURANCE_CATEGORY NUMBER

Denormalized column to capture the item insurance asset category at the time of asset entry
QTE_ID NUMBER

Rollover Quote Identifier
FUNDING_DATE DATE

Funding Date
STREAM_TYPE_SUBCLASS VARCHAR2 (30)
The subclass of the stream type
DATE_FUNDING_EXPECTED DATE

Date funding expected
MANUFACTURER_NAME VARCHAR2 (360)
Manufacturer name
MODEL_NUMBER VARCHAR2 (40)
Model number
DOWN_PAYMENT_RECEIVER_CODE VARCHAR2 (30)
Down payment receiver code
CAPITALIZE_DOWN_PAYMENT_YN VARCHAR2 (3)
Flag to indicate whether down payment is capitalized or not
FEE_PURPOSE_CODE VARCHAR2 (30)
Fee Purpose Code
TERMINATION_VALUE NUMBER

Termination value
EXPECTED_ASSET_COST NUMBER

ORIG_CONTRACT_LINE_ID NUMBER

Original Contract Line Identifier
ORIGINATION_INCOME NUMBER

Origination Income
AMOUNT_BALANCE_LEGACY NUMBER

Balance amount in legacy system
DT_EFFECTIVE_BALANCE_LEGACY DATE

Effective date of balance in legacy system
Query Text

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


SELECT ROW_ID
,      ID
,      OBJECT_VERSION_NUMBER
,      SFWT_FLAG
,      CHR_ID
,      CLE_ID
,      CLE_ID_RENEWED
,      CLE_ID_RENEWED_TO
,      LSE_ID
,      LINE_NUMBER
,      STS_CODE
,      DISPLAY_SEQUENCE
,      TRN_CODE
,      DNZ_CHR_ID
,      COMMENTS
,      ITEM_DESCRIPTION
,      OKE_BOE_DESCRIPTION
,      HIDDEN_IND
,      PRICE_UNIT
,      PRICE_UNIT_PERCENT
,      PRICE_NEGOTIATED
,      PRICE_NEGOTIATED_RENEWED
,      PRICE_LEVEL_IND
,      INVOICE_LINE_LEVEL_IND
,      DPAS_RATING
,      BLOCK23TEXT
,      EXCEPTION_YN
,      TEMPLATE_USED
,      DATE_TERMINATED
,      NAME
,      START_DATE
,      END_DATE
,      UPG_ORIG_SYSTEM_REF
,      UPG_ORIG_SYSTEM_REF_ID
,      ATTRIBUTE_CATEGORY
,      ATTRIBUTE1
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      CREATED_BY
,      CREATION_DATE
,      LAST_UPDATED_BY
,      LAST_UPDATE_DATE
,      LAST_UPDATE_LOGIN
,      PRICE_TYPE
,      CURRENCY_CODE
,      CURRENCY_CODE_RENEWED
,      DATE_RENEWED
,      ORIG_SYSTEM_SOURCE_CODE
,      ORIG_SYSTEM_ID1
,      ORIG_SYSTEM_REFERENCE1
,      PROGRAM_APPLICATION_ID
,      PROGRAM_ID
,      PROGRAM_UPDATE_DATE
,      REQUEST_ID
,      PRICE_LIST_ID
,      PRICE_LIST_LINE_ID
,      LINE_LIST_PRICE
,      ITEM_TO_PRICE_YN
,      PRICING_DATE
,      PRICE_BASIS_YN
,      CONFIG_HEADER_ID
,      CONFIG_REVISION_NUMBER
,      CONFIG_COMPLETE_YN
,      CONFIG_VALID_YN
,      CONFIG_TOP_MODEL_LINE_ID
,      CONFIG_ITEM_TYPE
,      CONFIG_ITEM_ID
,      SERVICE_ITEM_YN
,      PH_PRICING_TYPE
,      PH_PRICE_BREAK_BASIS
,      PH_MIN_QTY
,      PH_MIN_AMT
,      PH_QP_REFERENCE_ID
,      PH_VALUE
,      PH_ENFORCE_PRICE_LIST_YN
,      PH_ADJUSTMENT
,      PH_INTEGRATED_WITH_QP
,      CUST_ACCT_ID
,      BILL_TO_SITE_USE_ID
,      INV_RULE_ID
,      LINE_RENEWAL_TYPE_CODE
,      SHIP_TO_SITE_USE_ID
,      PAYMENT_TERM_ID
,      OKL_ROW_ID
,      OKL_OBJECT_VERSION_NUM
,      KLE_ID
,      STY_ID
,      PRC_CODE
,      FCG_CODE
,      NTY_CODE
,      ESTIMATED_OEC
,      LAO_AMOUNT
,      TITLE_DATE
,      FEE_CHARGE
,      LRS_PERCENT
,      INITIAL_DIRECT_COST
,      PERCENT_STAKE
,      PERCENT
,      EVERGREEN_PERCENT
,      AMOUNT_STAKE
,      OCCUPANCY
,      COVERAGE
,      RESIDUAL_PERCENTAGE
,      DATE_LAST_INSPECTION
,      DATE_SOLD
,      LRV_AMOUNT
,      CAPITAL_REDUCTION
,      DATE_NEXT_INSPECTION_DUE
,      DATE_RESIDUAL_LAST_REVIEW
,      DATE_LAST_REAMORTIZATION
,      VENDOR_ADVANCE_PAID
,      WEIGHTED_AVERAGE_LIFE
,      TRADEIN_AMOUNT
,      BOND_EQUIVALENT_YIELD
,      TERMINATION_PURCHASE_AMOUNT
,      REFINANCE_AMOUNT
,      YEAR_BUILT
,      DELIVERED_DATE
,      CREDIT_TENANT_YN
,      DATE_LAST_CLEANUP
,      YEAR_OF_MANUFACTURE
,      COVERAGE_RATIO
,      REMARKRTED_AMOUNT
,      GROSS_SQUARE_FOOTAGE
,      PRESCRIBED_ASSET_YN
,      DATE_REMARKETED
,      NET_RENTABLE
,      REMARKET_MARGIN
,      DATE_LETTER_ACCEPTANCE
,      REPURCHASED_AMOUNT
,      DATE_COMMITMENT_EXPIRATION
,      DATE_REPURCHASED
,      DATE_APPRAISAL
,      RESIDUAL_VALUE
,      APPRAISAL_VALUE
,      SECURED_DEAL_YN
,      GAIN_LOSS
,      FLOOR_AMOUNT
,      RE_LEASE_YN
,      PREVIOUS_CONTRACT
,      TRACKED_RESIDUAL
,      DATE_TITLE_RECEIVED
,      AMOUNT
,      OKL_ATTRIBUTE_CATEGORY
,      OKL_ATTRIBUTE1
,      OKL_ATTRIBUTE2
,      OKL_ATTRIBUTE3
,      OKL_ATTRIBUTE4
,      OKL_ATTRIBUTE5
,      OKL_ATTRIBUTE6
,      OKL_ATTRIBUTE7
,      OKL_ATTRIBUTE8
,      OKL_ATTRIBUTE9
,      OKL_ATTRIBUTE10
,      OKL_ATTRIBUTE11
,      OKL_ATTRIBUTE12
,      OKL_ATTRIBUTE13
,      OKL_ATTRIBUTE14
,      OKL_ATTRIBUTE15
,      STY_ID_FOR
,      CLG_ID
,      OKL_CREATED_BY
,      OKL_CREATION_DATE
,      OKL_LAST_UPDATED_BY
,      OKL_LAST_UPDATE_DATE
,      OKL_LAST_UPDATE_LOGIN
,      DATE_FUNDING
,      DATE_FUNDING_REQUIRED
,      DATE_ACCEPTED
,      DATE_DELIVERY_EXPECTED
,      OEC
,      CAPITAL_AMOUNT
,      RESIDUAL_GRNTY_AMOUNT
,      RESIDUAL_CODE
,      RVI_PREMIUM
,      CREDIT_NATURE
,      CAPITALIZED_INTEREST
,      CAPITAL_REDUCTION_PERCENT
,      DATE_PAY_INVESTOR_START
,      PAY_INVESTOR_FREQUENCY
,      PAY_INVESTOR_EVENT
,      PAY_INVESTOR_REMITTANCE_DAYS
,      FEE_TYPE
,      SUBSIDY_ID
,      SUBSIDY_OVERRIDE_AMOUNT
,      PRE_TAX_YIELD
,      AFTER_TAX_YIELD
,      IMPLICIT_INTEREST_RATE
,      IMPLICIT_NON_IDC_INTEREST_RATE
,      PRE_TAX_IRR
,      AFTER_TAX_IRR
,      SUB_PRE_TAX_YIELD
,      SUB_AFTER_TAX_YIELD
,      SUB_IMPL_INTEREST_RATE
,      SUB_IMPL_NON_IDC_INT_RATE
,      SUB_PRE_TAX_IRR
,      SUB_AFTER_TAX_IRR
,      ITEM_INSURANCE_CATEGORY
,      QTE_ID
,      FUNDING_DATE
,      STREAM_TYPE_SUBCLASS
,      DATE_FUNDING_EXPECTED
,      MANUFACTURER_NAME
,      MODEL_NUMBER
,      DOWN_PAYMENT_RECEIVER_CODE
,      CAPITALIZE_DOWN_PAYMENT_YN
,      FEE_PURPOSE_CODE
,      TERMINATION_VALUE
,      EXPECTED_ASSET_COST
,      ORIG_CONTRACT_LINE_ID
,      ORIGINATION_INCOME
,      AMOUNT_BALANCE_LEGACY
,      DT_EFFECTIVE_BALANCE_LEGACY
FROM APPS.OKL_K_LINES_FULL_V;

Dependencies

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APPS.OKL_K_LINES_FULL_V references the following:

SchemaAPPS
SynonymOKC_K_LINES_B
SynonymOKC_K_LINES_TL
SynonymOKL_K_LINES
APPS.OKL_K_LINES_FULL_V is referenced by following:

SchemaAPPS
Package BodyOKL_ACCRUAL_SEC_PVT - show dependent code
Package BodyOKL_AM_AMORTIZE_PVT - show dependent code
ViewOKL_AM_ASSET_DETAILS_CHR_UV
ViewOKL_AM_ASSET_DETAILS_UV
Package BodyOKL_AM_ASSET_DISPOSE_PVT - show dependent code
ViewOKL_AM_ASSET_RETURNS_UV
Package BodyOKL_AM_ASSET_RETURN_PVT - show dependent code
Package BodyOKL_AM_ASSET_RETURN_WF - show dependent code
ViewOKL_AM_ASSET_SALE_UV
Package BodyOKL_AM_CNTRCT_LN_TRMNT_PVT - show dependent code
Package BodyOKL_AM_CREATE_QUOTE_PVT - show dependent code
ViewOKL_AM_FIXED_ASSET_LOCATION_UV
Package BodyOKL_AM_QUOTES_WF - show dependent code
Package BodyOKL_AM_REPURCHASE_ASSET_PVT - show dependent code
ViewOKL_AM_RESIDUAL_VALUE_WD_UV
ViewOKL_AM_RMK_BILLING_UV
Package BodyOKL_AM_RV_WRITEDOWN_PVT - show dependent code
Package BodyOKL_AM_SHIPPING_INSTR_PVT - show dependent code
Package BodyOKL_AM_TERMNT_INTERFACE_PVT - show dependent code
PL/SQL PackageOKL_CONTRACT_LINE_ITEM_PVT - show dependent code
Package BodyOKL_CONTRACT_LINE_ITEM_PVT - show dependent code
Package BodyOKL_CONTRACT_REBOOK_PVT - show dependent code
Package BodyOKL_CONTRACT_TOP_LINE_PVT - show dependent code
Package BodyOKL_COPY_ASSET_PVT - show dependent code
Package BodyOKL_CREDIT_PUB - show dependent code
Package BodyOKL_CS_LEASE_RENEWAL_PVT - show dependent code
Package BodyOKL_CS_PRINCIPAL_PAYDOWN_PVT - show dependent code
Package BodyOKL_EVERGREEN_BILLING_PVT - show dependent code
Package BodyOKL_EXPENSE_STREAMS_PVT - show dependent code
Package BodyOKL_EXT_BILLING_CHARGES_PVT - show dependent code
Package BodyOKL_FUNDING_PVT - show dependent code
PL/SQL PackageOKL_GENERATE_ACCRUALS_PVT - show dependent code
Package BodyOKL_ISG_UTILS_PVT - show dependent code
Package BodyOKL_LA_PAYMENTS_PVT - show dependent code
PL/SQL PackageOKL_LA_STREAM_PVT - show dependent code
Package BodyOKL_LA_STREAM_PVT - show dependent code
Package BodyOKL_MASS_REBOOK_PVT - show dependent code
Package BodyOKL_OPEN_INTERFACE_PVT - show dependent code
Package BodyOKL_PAYMENT_APPLICATION_PVT - show dependent code
Package BodyOKL_PAYMENT_SPLIT_PVT - show dependent code
Package BodyOKL_PRICING_PVT - show dependent code
Package BodyOKL_PROPERTY_TAX_STATEMENT_PVT - show dependent code
Package BodyOKL_PROP_TAX_ADJ_PVT - show dependent code
PL/SQL PackageOKL_QA_DATA_INTEGRITY - show dependent code
Package BodyOKL_QA_DATA_INTEGRITY - show dependent code
PL/SQL PackageOKL_QA_SECURITIZATION - show dependent code
Package BodyOKL_SEEDED_FUNCTIONS_PVT - show dependent code
Package BodyOKL_SPLIT_ASSET_COMP_PVT - show dependent code
Package BodyOKL_SPLIT_ASSET_PVT - show dependent code
Package BodyOKL_SPLIT_CONTRACT_PVT - show dependent code
PL/SQL PackageOKL_STREAM_GENERATOR_PVT - show dependent code
Package BodyOKL_STREAM_GENERATOR_PVT - show dependent code
Package BodyOKL_UBB_INTEGRATION_PVT - show dependent code
Package BodyOKL_VARIABLE_INTEREST_PVT - show dependent code
Package BodyOKL_VARIABLE_INT_UTIL_PVT - show dependent code
Package BodyOKL_VAR_INT_FLOAT_PVT - show dependent code
Package BodyOKL_VAR_INT_REAMORT_PVT - show dependent code