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-rw-r--r--sql/dawn.sql78
1 files changed, 38 insertions, 40 deletions
diff --git a/sql/dawn.sql b/sql/dawn.sql
index 6703c8e2..19a5c224 100644
--- a/sql/dawn.sql
+++ b/sql/dawn.sql
@@ -3078,10 +3078,10 @@ CREATE OR REPLACE VIEW tranche_settlements AS SELECT
WHERE orig_attach IS NOT NULL;
-CREATE OR REPLACE VIEW tranchepayment_settlements AS SELECT tc.tranche_id::TEXT AS id, tc.date AS settle_date,
- cds.fund::fund, cds.cp_code::text, 'TRANCHE_CF' AS asset_class,
- 'OTC'::text AS account, tc.currency::currency,
- (COALESCE(tc.principal,0) + COALESCE(tc.accrued,0))::numeric(11,2) AS payment_amount
+CREATE OR REPLACE VIEW tranchepayment_settlements AS SELECT tc.tranche_id::TEXT AS id, tc.date AS settle_date,
+ cds.fund::fund, cds.cp_code::text, 'TRANCHE_CF' AS asset_class,
+ 'OTC'::text AS account, tc.currency::currency,
+ (COALESCE(tc.principal,0) + COALESCE(tc.accrued,0))::numeric(11,2) AS payment_amount
FROM tranche_cashflows tc LEFT JOIN cds ON tc.tranche_id=cds.id ;
@@ -3160,9 +3160,9 @@ AS SELECT t.settle_date,
SELECT * FROM spot_settlements
UNION
SELECT * FROM fxswap_settlements
- UNION
- SELECT * FROM trs_settlements
- UNION
+ UNION
+ SELECT * FROM trs_settlements
+ UNION
SELECT * FROM equityoption_settlements) t
LEFT JOIN counterparties c on t.cp_code=c.code
GROUP BY t.settle_date, t.fund, c.name, t.cp_code, t.asset_class, t.currency, t.account
@@ -3276,7 +3276,7 @@ SELECT eo.id,
eo.strike,
eo.buysell,
eo.quantity * eo.underlyingshares * price * (2* buysell::integer -1.)
- eo.underlyingshares
+ eo.underlyingshares
FROM equityoptions eo JOIN counterparties cps ON cp_code = code) ORDER BY trade_date DESC;
CREATE TABLE bond_tickets (
bbg_ticket_id text NOT NULL,
@@ -4736,11 +4736,11 @@ SELECT id,
FROM irs JOIN counterparties ON cp_code = code) ORDER BY trade_date DESC, folder;
CREATE OR REPLACE FUNCTION list_iam(p_date date, p_fund fund) RETURNS TABLE (trade_date date, broker text, clean_folder strategy, start_money numeric(11,2), currency currency, fund fund, folder text, portfolio portfolio) AS $$ BEGIN RETURN QUERY
-SELECT si.date as trade_date, si.broker, si.strategy as clean_strat, si.amount::NUMERIC(11,2),
-si.currency, si.fund, COALESCE(pfm.folder::text, strategy::text) AS folder, pfm.portfolio
-FROM (SELECT *, rank() OVER(PARTITION BY si.broker,si.fund ORDER BY date desc)
-FROM strategy_im si WHERE si.fund=p_fund AND si.date<=p_date ORDER BY date DESC) si
-LEFT JOIN portfolio_folder_mapping pfm ON pfm.clean_folder=si.strategy::TEXT
+SELECT si.date as trade_date, si.broker, si.strategy as clean_strat, si.amount::NUMERIC(11,2),
+si.currency, si.fund, COALESCE(pfm.folder::text, strategy::text) AS folder, pfm.portfolio
+FROM (SELECT *, rank() OVER(PARTITION BY si.broker,si.fund ORDER BY date desc)
+FROM strategy_im si WHERE si.fund=p_fund AND si.date<=p_date ORDER BY date DESC) si
+LEFT JOIN portfolio_folder_mapping pfm ON pfm.clean_folder=si.strategy::TEXT
WHERE RANK=1 and abs(amount) >= .01; END $$ LANGUAGE plpgsql;
CREATE TYPE custodian AS ENUM('BNY', 'UMB', 'NT', "SCOTIA");
@@ -4807,17 +4807,17 @@ FROM valuation_reports vr
GROUP BY invccy, invid, periodenddate, fund, port, strat
HAVING invid IN ('EURF', 'USDF');
-CREATE OR REPLACE VIEW admin_otc_valuations AS SELECT invccy, custacctname, port, strat, periodenddate, fund,
+CREATE OR REPLACE VIEW admin_otc_valuations AS SELECT invccy, custacctname, port, strat, periodenddate, fund,
sum(
CASE
WHEN endbookmv = 0 OR endlocalmv = 0 THEN 0
ELSE endbooknav / (endbookmv / endlocalmv)
END
) as endlocalmv
-FROM valuation_reports vr
+FROM valuation_reports vr
WHERE invid NOT IN ('EUR', 'EURF') AND endbooknav IS NOT NULL
GROUP BY invccy, custacctname, port, strat, periodenddate, fund
-HAVING invccy IN ('EUR', 'USD')
+HAVING invccy IN ('EUR', 'USD')
AND custacctname IN (SELECT cash_account FROM accounts2 WHERE account_type = 'Cash' AND active);
CREATE OR REPLACE VIEW public.admin_cash_valuations
@@ -4863,35 +4863,33 @@ CREATE TABLE citco_account_mapping (fund fund, citco_code text, account TEXT ref
CREATE OR REPLACE VIEW citco_cash_valuations
AS
-SELECT
- cr.period_end_date AS periodenddate,
- cr.fund,
- cr.trade_ccy AS invccy,
- cr.trade_ccy AS invid,
- sum(cr."quantity(end)") AS endlocalmv,
- 'CASH' AS port,
- 'CSH_CASH' AS strat,
+SELECT
+ cr.period_end_date AS periodenddate,
+ cr.fund,
+ cr.trade_ccy AS invccy,
+ cr.trade_ccy AS invid,
+ sum(cr."quantity(end)") AS endlocalmv,
+ 'CASH' AS port,
+ 'CSH_CASH' AS strat,
cr."prime_broker/clearing_broker" AS custacctname
FROM citco_reports cr
-GROUP BY
- cr.period_end_date,
- cr.fund,
- cr.symbol,
- cr.trade_ccy,
+GROUP BY
+ cr.period_end_date,
+ cr.fund,
+ cr.symbol,
+ cr.trade_ccy,
cr."prime_broker/clearing_broker"
-HAVING
+HAVING
cr.symbol IN ('EUR Cash Balance', 'USD Cash Balance');
-CREATE OR REPLACE VIEW citco_otc_valuations AS SELECT period_end_date, fund, "prime_broker/clearing_broker",
- COALESCE(split_part("strategy", '/', 1), 'CASH') AS portfolio,
- COALESCE(split_part("strategy", '/', 2), 'CSH_CASH') AS strategy,
- sum(issue_market_value)
-FROM citco_reports cr
-WHERE trade_ccy IN ('USD', 'EUR')
- AND "prime_broker/clearing_broker" LIKE '%_IS'
-GROUP BY period_end_date, fund, "prime_broker/clearing_broker",
+CREATE OR REPLACE VIEW citco_otc_valuations AS SELECT period_end_date, fund, "prime_broker/clearing_broker",
+ COALESCE(split_part("strategy", '/', 1), 'CASH') AS portfolio,
+ COALESCE(split_part("strategy", '/', 2), 'CSH_CASH') AS strategy,
+ sum(issue_market_value)
+FROM citco_reports cr
+WHERE trade_ccy IN ('USD', 'EUR')
+ AND "prime_broker/clearing_broker" LIKE '%_IS'
+GROUP BY period_end_date, fund, "prime_broker/clearing_broker",
COALESCE (split_part("strategy", '/', 1), 'CASH'),
COALESCE (split_part("strategy", '/', 2), 'CSH_CASH') ORDER BY period_end_date desc;
-
-