diff options
Diffstat (limited to 'sql/dawn.sql')
| -rw-r--r-- | sql/dawn.sql | 6 |
1 files changed, 5 insertions, 1 deletions
diff --git a/sql/dawn.sql b/sql/dawn.sql index 3ffaa44b..af7b2d4c 100644 --- a/sql/dawn.sql +++ b/sql/dawn.sql @@ -718,7 +718,8 @@ $$ LANGUAGE plpgsql; CREATE OR REPLACE FUNCTION list_swaption_positions_and_risks(IN p_date date) RETURNS TABLE(deal_id character varying, security_id character varying, maturity date, notional double precision, option_type option_type, - strike double precision, expiration_date date, market_value double precision, + strike double precision, expiration_date date, serenitas_nav double precision, + globeop_nav double precision, initial_margin_percentage double precision, latest_model_date date, delta double precision, gamma double precision, vega double precision, theta double precision, index index_type, series smallint, tenor tenor, @@ -728,15 +729,18 @@ RETURN QUERY SELECT DISTINCT ON (a.dealid) a.dealid, a.security_id, c.maturity, (CASE WHEN buysell = 't' THEN 1 ELSE -1 END) * a.notional, a.option_type, a.strike, a.expiration_date, b.market_value, + endbooknav, a.initial_margin_percentage, b.date, b.delta, b.gamma, b.vega, b.theta, c.index, c.series, c.tenor, d.duration FROM swaptions a LEFT JOIN (SELECT * FROM swaption_marks where date <= p_date) b USING (dealid) LEFT JOIN index_desc c ON a.security_id=redindexcode AND a.maturity=c.maturity LEFT JOIN (SELECT * FROM index_quotes WHERE date=p_date) d USING (index, series, tenor, version) +LEFT JOIN valuation_reports ON invid = a.globeop_id WHERE (termination_date IS NULL OR termination_date > p_date) AND a.expiration_date > p_date AND trade_date <= p_date AND swap_type = 'CD_INDEX_OPTION' +AND periodenddate = p_date ORDER BY dealid, date DESC; END $$ LANGUAGE plpgsql; |
