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VIEW: APPS.XTR_R_DEALS_V

Object Details
Object Name: XTR_R_DEALS_V
Object Type: VIEW
Owner: APPS
FND Design Data: ViewXTR.XTR_R_DEALS_V
Subobject Name:
Status: VALID

***** Warning: Oracle Internal Use Only *****

Oracle Corporation does not support access to Oracle
applications data using this object, except from standard Oracle Applications programs.

View Type

Internal

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Columns
Name Datatype Length Mandatory Comments
SWAP_DEPO_ADJUSTMENT NUMBER


SWAP_DEPO_FLAG VARCHAR2 (1)

SWAP_DEPO_INT_RATE NUMBER


SWAP_DEPO_TOTAL_RECEIPT NUMBER


SWAP_REF VARCHAR2 (10)

SYNTHETIC_PRINTED_YN VARCHAR2 (1)

TAX_AMOUNT NUMBER


TAX_AMOUNT_HCE NUMBER


TAX_CODE VARCHAR2 (7)

TAX_RATE NUMBER


TAX_SETTLED_REFERENCE NUMBER


TERM_MY VARCHAR2 (4)

TOTAL_PRICE NUMBER


TRANSACTION_CROSS_REF VARCHAR2 (7)

TRANSACTION_NO NUMBER


TRANSACTION_RATE NUMBER


UPDATED_BY VARCHAR2 (30)

UPDATED_ON DATE


VALUE_DATE DATE


YEAR_BASIS NUMBER


YEAR_CALC_TYPE VARCHAR2 (15)

YIELD_AMOUNT NUMBER


YIELD_HCE_AMOUNT NUMBER


CLIENT_ADVICE VARCHAR2 (1)

CLIENT_CODE VARCHAR2 (7)

CLIENT_REF VARCHAR2 (7)

COMMENCE_DATE DATE


COMMENTS VARCHAR2 (255)

COMPANY_CODE VARCHAR2 (7) Yes
CONTRACT_COMMISSION NUMBER


CONTRACT_FEES NUMBER


CONTRACT_NOS NUMBER


CONTRACT_RATE NUMBER


COUPON_ACTION VARCHAR2 (3)

COUPON_RATE NUMBER


CPARTY_ADVICE VARCHAR2 (1)

CPARTY_CODE VARCHAR2 (7) Yes
CPARTY_REF VARCHAR2 (7)

CREATED_BY VARCHAR2 (30) Yes
CREATED_ON DATE
Yes
CTY_CCY VARCHAR2 (15)

CUM_COUPON_DATE DATE


CURRENCY VARCHAR2 (15)

CURRENCY_BUY VARCHAR2 (15)

CURRENCY_SELL VARCHAR2 (15)

DEALER_CODE VARCHAR2 (10)

DEAL_DATE DATE
Yes
DEAL_LINKING_CODE VARCHAR2 (8)

DEAL_NO NUMBER
Yes
DEAL_SUBTYPE VARCHAR2 (7) Yes
DEAL_TYPE VARCHAR2 (7) Yes
DISCOUNT VARCHAR2 (1)

DRAWER_CODE VARCHAR2 (7)

DRAWER_NAME VARCHAR2 (20)

DUAL_AUTHORISATION_BY VARCHAR2 (30)

DUAL_AUTHORISATION_ON DATE


ENDORSER_CODE VARCHAR2 (7)

ENDORSER_NAME VARCHAR2 (20)

ENTER_INTO_SWAP VARCHAR2 (1)

EXCHANGE_CODE VARCHAR2 (7)

EXERCISE VARCHAR2 (1)

EXPIRY_DATE DATE


EXTERNAL_COMMENTS VARCHAR2 (255)

EXTERNAL_CPARTY_NO VARCHAR2 (15)

FACE_VALUE_AMOUNT NUMBER


FACE_VALUE_HCE_AMOUNT NUMBER


FIRST_REVAL VARCHAR2 (1)

FIXED_OR_FLOATING_RATE VARCHAR2 (5)

FIXED_TERM_MY VARCHAR2 (3)

FRA_DESCRIPTION VARCHAR2 (20)

FREQUENCY NUMBER


FXD_DEAL_NO NUMBER


FXO_DEAL_NO NUMBER


FX_COVER_CROSS_REF NUMBER


FX_PD_DEAL_NO NUMBER


FX_REVALUED_ON_DATE DATE


FX_RO_DEAL_NO NUMBER


FX_SUBSIDIARY_BALANCE_AMOUNT NUMBER


FX_WHOLESALE_REF NUMBER


INSERT_FOR_CASHFLOW VARCHAR2 (1)

FORWARD_HCE_AMOUNT NUMBER


INTEREST_AMOUNT NUMBER


INTEREST_CUTOFF VARCHAR2 (1)

INTEREST_HCE_AMOUNT NUMBER


INTEREST_RATE NUMBER


INTERNAL_TICKET_NO VARCHAR2 (15)

INT_SWAP_REF VARCHAR2 (10)

KNOCK_EXECUTED_BY VARCHAR2 (10)

KNOCK_EXECUTED_ON DATE


KNOCK_INSERT_TYPE VARCHAR2 (1)

KNOCK_LEVEL NUMBER


KNOCK_TYPE VARCHAR2 (10)

LIMIT_AMOUNT NUMBER


LIMIT_CODE VARCHAR2 (7)

MARGIN NUMBER


MATURITY_ACCOUNT_NO VARCHAR2 (20)

MATURITY_AMOUNT NUMBER


MATURITY_BALANCE_AMOUNT NUMBER


MATURITY_BALANCE_HCE_AMOUNT NUMBER


MATURITY_DATE DATE


MATURITY_HCE_AMOUNT NUMBER


NEXT_COUPON_DATE DATE


NI_DEAL_NO NUMBER


NI_PROFIT_LOSS NUMBER


NO_OF_DAYS NUMBER


OPTION_AMOUNT NUMBER


OPTION_COMMENCEMENT DATE


OPTION_HCE_AMOUNT NUMBER


OPTION_POINTS NUMBER


OPTION_TYPE VARCHAR2 (8)

PAYMENT_FREQ VARCHAR2 (12)

PAYMENT_SCHEDULE_CODE VARCHAR2 (7)

PI_AMOUNT_DUE NUMBER


PORTFOLIO_AMOUNT NUMBER


PORTFOLIO_CODE VARCHAR2 (7)

PREMIUM_ACCOUNT_NO VARCHAR2 (20)

PREMIUM_ACTION VARCHAR2 (7)

PREMIUM_AMOUNT NUMBER


PREMIUM_AMOUNT_TYPE VARCHAR2 (7)

PREMIUM_CURRENCY VARCHAR2 (15)

PREMIUM_DATE DATE


PREMIUM_HCE_AMOUNT NUMBER


PREMIUM_NO_OF_DAYS NUMBER


PRINCIPAL_SETTLED_BY VARCHAR2 (1)

PRINTED_CPARTY_ADVICE VARCHAR2 (1)

PRINTED_YN VARCHAR2 (1)

PRODUCT_TYPE VARCHAR2 (10)

QUICK_INPUT VARCHAR2 (1)

RATE_BASIS VARCHAR2 (5)

REF_CCY VARCHAR2 (15)

RENEG_DATE DATE


RISKPARTY_CODE VARCHAR2 (7)

RISKPARTY_LIMIT_CODE VARCHAR2 (7)

SECURITY_NAME VARCHAR2 (10)

SELL_ACCOUNT_NO VARCHAR2 (20)

SELL_AMOUNT NUMBER


SELL_HCE_AMOUNT NUMBER


SETTLE_ACCOUNT_NO VARCHAR2 (20)

SETTLE_ACTION VARCHAR2 (7)

SETTLE_AMOUNT NUMBER


SETTLE_AMOUNT_TYPE VARCHAR2 (7)

SETTLE_DATE DATE


SETTLE_DUAL_AUTHORISATION_BY VARCHAR2 (30)

SETTLE_DUAL_AUTHORISATION_ON DATE


SETTLE_HCE_AMOUNT NUMBER


SETTLE_NO_OF_DAYS NUMBER


SETTLE_RATE NUMBER


SPOT_RATE_ON_VALUATION NUMBER


START_ACCOUNT_NO VARCHAR2 (20)

START_AMOUNT NUMBER


START_DATE DATE


START_HCE_AMOUNT NUMBER


STATUS_CODE VARCHAR2 (10) Yes
ACCEPTOR_CODE VARCHAR2 (7)

ACCEPTOR_NAME VARCHAR2 (20)

ACCRUAL_FROM DATE


ACCRUAL_TO DATE


ACCRUED_INTEREST_PRICE NUMBER


ACTION_STATUS VARCHAR2 (20)

ARCHIVE_BY VARCHAR2 (30)

ARCHIVE_DATE DATE


ATTACHMENT_EXISTS VARCHAR2 (1)

AUDIT_INDICATOR VARCHAR2 (1)

BASE_DATE DATE


BASE_RATE NUMBER


BKGE_SETTLED_REFERENCE NUMBER


BOND_ISSUE VARCHAR2 (7)

BOND_PROFIT_LOSS NUMBER


BOND_RENEG_DATE DATE


BOND_RESALE_DATE DATE


BOND_SALE_DATE DATE


BROKER VARCHAR2 (7)

BROKERAGE_AMOUNT NUMBER


BROKERAGE_AMOUNT_HCE NUMBER


BROKERAGE_CODE VARCHAR2 (7)

BROKERAGE_CURRENCY VARCHAR2 (15)

BROKERAGE_RATE NUMBER


BUY_ACCOUNT_NO VARCHAR2 (20)

BUY_AMOUNT NUMBER


BUY_HCE_AMOUNT NUMBER


CALC_BASIS VARCHAR2 (8)

CAPITAL_PRICE NUMBER


CAP_OR_FLOOR VARCHAR2 (5)

SECURITY_ID VARCHAR2 (10)
EXERCISE_PRICE NUMBER

Query Text

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


SELECT SWAP_DEPO_ADJUSTMENT
,      SWAP_DEPO_FLAG
,      SWAP_DEPO_INT_RATE
,      SWAP_DEPO_TOTAL_RECEIPT
,      SWAP_REF
,      SYNTHETIC_PRINTED_YN
,      TAX_AMOUNT
,      TAX_AMOUNT_HCE
,      TAX_CODE
,      TAX_RATE
,      TAX_SETTLED_REFERENCE
,      TERM_MY
,      TOTAL_PRICE
,      TRANSACTION_CROSS_REF
,      TRANSACTION_NO
,      TRANSACTION_RATE
,      UPDATED_BY
,      UPDATED_ON
,      VALUE_DATE
,      YEAR_BASIS
,      YEAR_CALC_TYPE
,      YIELD_AMOUNT
,      YIELD_HCE_AMOUNT
,      CLIENT_ADVICE
,      CLIENT_CODE
,      CLIENT_REF
,      COMMENCE_DATE
,      COMMENTS
,      COMPANY_CODE
,      CONTRACT_COMMISSION
,      CONTRACT_FEES
,      CONTRACT_NOS
,      CONTRACT_RATE
,      COUPON_ACTION
,      COUPON_RATE
,      CPARTY_ADVICE
,      CPARTY_CODE
,      CPARTY_REF
,      CREATED_BY
,      CREATED_ON
,      CTY_CCY
,      CUM_COUPON_DATE
,      CURRENCY
,      CURRENCY_BUY
,      CURRENCY_SELL
,      DEALER_CODE
,      DEAL_DATE
,      DEAL_LINKING_CODE
,      DEAL_NO
,      DEAL_SUBTYPE
,      DEAL_TYPE
,      DISCOUNT
,      DRAWER_CODE
,      DRAWER_NAME
,      DUAL_AUTHORISATION_BY
,      DUAL_AUTHORISATION_ON
,      ENDORSER_CODE
,      ENDORSER_NAME
,      ENTER_INTO_SWAP
,      EXCHANGE_CODE
,      EXERCISE
,      EXPIRY_DATE
,      EXTERNAL_COMMENTS
,      EXTERNAL_CPARTY_NO
,      FACE_VALUE_AMOUNT
,      FACE_VALUE_HCE_AMOUNT
,      FIRST_REVAL
,      FIXED_OR_FLOATING_RATE
,      FIXED_TERM_MY
,      FRA_DESCRIPTION
,      FREQUENCY
,      FXD_DEAL_NO
,      FXO_DEAL_NO
,      FX_COVER_CROSS_REF
,      FX_PD_DEAL_NO
,      FX_REVALUED_ON_DATE
,      FX_RO_DEAL_NO
,      FX_SUBSIDIARY_BALANCE_AMOUNT
,      FX_WHOLESALE_REF
,      INSERT_FOR_CASHFLOW
,      FORWARD_HCE_AMOUNT
,      INTEREST_AMOUNT
,      INTEREST_CUTOFF
,      INTEREST_HCE_AMOUNT
,      INTEREST_RATE
,      INTERNAL_TICKET_NO
,      INT_SWAP_REF
,      KNOCK_EXECUTED_BY
,      KNOCK_EXECUTED_ON
,      KNOCK_INSERT_TYPE
,      KNOCK_LEVEL
,      KNOCK_TYPE
,      LIMIT_AMOUNT
,      LIMIT_CODE
,      MARGIN
,      MATURITY_ACCOUNT_NO
,      MATURITY_AMOUNT
,      MATURITY_BALANCE_AMOUNT
,      MATURITY_BALANCE_HCE_AMOUNT
,      MATURITY_DATE
,      MATURITY_HCE_AMOUNT
,      NEXT_COUPON_DATE
,      NI_DEAL_NO
,      NI_PROFIT_LOSS
,      NO_OF_DAYS
,      OPTION_AMOUNT
,      OPTION_COMMENCEMENT
,      OPTION_HCE_AMOUNT
,      OPTION_POINTS
,      OPTION_TYPE
,      PAYMENT_FREQ
,      PAYMENT_SCHEDULE_CODE
,      PI_AMOUNT_DUE
,      PORTFOLIO_AMOUNT
,      PORTFOLIO_CODE
,      PREMIUM_ACCOUNT_NO
,      PREMIUM_ACTION
,      PREMIUM_AMOUNT
,      PREMIUM_AMOUNT_TYPE
,      PREMIUM_CURRENCY
,      PREMIUM_DATE
,      PREMIUM_HCE_AMOUNT
,      PREMIUM_NO_OF_DAYS
,      PRINCIPAL_SETTLED_BY
,      PRINTED_CPARTY_ADVICE
,      PRINTED_YN
,      PRODUCT_TYPE
,      QUICK_INPUT
,      RATE_BASIS
,      REF_CCY
,      RENEG_DATE
,      RISKPARTY_CODE
,      RISKPARTY_LIMIT_CODE
,      SECURITY_NAME
,      SELL_ACCOUNT_NO
,      SELL_AMOUNT
,      SELL_HCE_AMOUNT
,      SETTLE_ACCOUNT_NO
,      SETTLE_ACTION
,      SETTLE_AMOUNT
,      SETTLE_AMOUNT_TYPE
,      SETTLE_DATE
,      SETTLE_DUAL_AUTHORISATION_BY
,      SETTLE_DUAL_AUTHORISATION_ON
,      SETTLE_HCE_AMOUNT
,      SETTLE_NO_OF_DAYS
,      SETTLE_RATE
,      SPOT_RATE_ON_VALUATION
,      START_ACCOUNT_NO
,      START_AMOUNT
,      START_DATE
,      START_HCE_AMOUNT
,      STATUS_CODE
,      ACCEPTOR_CODE
,      ACCEPTOR_NAME
,      ACCRUAL_FROM
,      ACCRUAL_TO
,      ACCRUED_INTEREST_PRICE
,      ACTION_STATUS
,      ARCHIVE_BY
,      ARCHIVE_DATE
,      ATTACHMENT_EXISTS
,      AUDIT_INDICATOR
,      BASE_DATE
,      BASE_RATE
,      BKGE_SETTLED_REFERENCE
,      BOND_ISSUE
,      BOND_PROFIT_LOSS
,      BOND_RENEG_DATE
,      BOND_RESALE_DATE
,      BOND_SALE_DATE
,      BROKER
,      BROKERAGE_AMOUNT
,      BROKERAGE_AMOUNT_HCE
,      BROKERAGE_CODE
,      BROKERAGE_CURRENCY
,      BROKERAGE_RATE
,      BUY_ACCOUNT_NO
,      BUY_AMOUNT
,      BUY_HCE_AMOUNT
,      CALC_BASIS
,      CAPITAL_PRICE
,      CAP_OR_FLOOR
,      SECURITY_ID
,      EXERCISE_PRICE
FROM APPS.XTR_R_DEALS_V;

Dependencies

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APPS.XTR_R_DEALS_V references the following:

SchemaAPPS
SynonymXTR_R_DEALS

APPS.XTR_R_DEALS_V is not referenced by any database object