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from flask.ext.sqlalchemy import SQLAlchemy
from flask_wtf import Form
from flask_wtf.file import FileField
from sqlalchemy.dialects.postgresql import ENUM
from wtforms import SelectField
from wtforms.validators import Length
from wtforms_alchemy import model_form_factory
from sqlalchemy_utils import EmailType, PhoneNumberType

db = SQLAlchemy()

class Counterparties(db.Model):
    __tablename__ = 'counterparties'
    code = db.Column(db.String(12), primary_key=True)
    name = db.Column(db.String)
    city = db.Column(db.String)
    state = db.Column(db.String(2))
    dtc_number = db.Column(db.Integer)
    sales_contact = db.Column(db.String)
    sales_email = db.Column(EmailType)
    sales_phone = db.Column(PhoneNumberType())
    valuation_contact1 = db.Column(db.String)
    valuation_email1 = db.Column(EmailType)
    valuation_contact2 = db.Column(db.String)
    valuation_email2 = db.Column(EmailType)
    valuation_contact3 = db.Column(db.String)
    valuation_email3 = db.Column(EmailType)
    valuation_contact4 = db.Column(db.String)
    valuation_email4 = db.Column(EmailType)
    notes = db.Column(db.String)
    instructions = db.Column(db.String, info={'form_field_class': FileField})

BOND_STRAT = ENUM('M_STR_MAV', 'M_STR_MEZZ', 'CSO_TRANCH',
                  'M_CLO_BB20', 'M_CLO_AAA', 'M_CLO_BBB', 'M_MTG_IO', 'M_MTG_THRU',
                  'M_MTG_GOOD', 'M_MTG_B4PR', 'M_MTG_RW', name='bond_strat')
ASSET_CLASS = ENUM('CSO', 'Subprime', 'CLO', 'Tranches', 'Futures', 'Cash', 'FX', 'Cleared',
                   name='asset_class')
ACTION = ENUM('NEW', 'UPDATE', 'CANCEL', name='action')

CCY = ENUM('USD', 'CAD', 'EUR', 'YEN', name='currency')

BBG_TYPE = ENUM('Mtge', 'Corp', name='bbg_type')

class BondDeal(db.Model):
    __tablename__ = 'bonds'
    id = db.Column('id', db.Integer, primary_key=True)
    dealid = db.Column(db.String(28))
    lastupdate = db.Column(db.DateTime, server_default=db.func.now(), onupdate=db.func.now())
    action = db.Column(ACTION)
    folder = db.Column(BOND_STRAT, nullable=False)
    custodian = db.Column(db.String(12), default='BAC', nullable=False)
    cashaccount = db.Column(db.String(10), default='V0NSCLMAMB', nullable=False)
    cp_code = db.Column(db.String(12), db.ForeignKey('counterparties.code'),
                        info={'choices': [(None, '')],
                              'label': 'counterparty'}, nullable = False)
    trade_date = db.Column(db.Date, nullable = False)
    settle_date = db.Column(db.Date, nullable = False)
    cusip = db.Column(db.String(9), info={'validators': Length(9,9),
                                          'filters': [lambda x: x or None,],
                                          'trim': True})
    isin = db.Column(db.String(12), info={'validators': Length(12, 12),
                                          'filters': [lambda x: x or None,],
                                          'trim': True})
    identifier = db.Column(db.String(12), info={'filters': [lambda x: x or None,],
                                                'trim': True})
    description = db.Column(db.String(32), nullable = False, info={'trim': True})
    buysell = db.Column(db.Boolean, nullable = False, info={'choices':[(0, 'sell'), (1, 'buy')],
                                                            'coerce': lambda x: bool(int(x)) \
                                                            if x is not None else x})
    faceamount = db.Column(db.Float, nullable=False)
    price = db.Column(db.Float, nullable=False)
    accrued = db.Column(db.Float, nullable = False)
    asset_class = db.Column(ASSET_CLASS)
    ticket = db.Column(db.String, info={'form_field_class': FileField})
    principal_payment = db.Column(db.Float)
    accrued_payment = db.Column(db.Float)

    counterparty = db.relationship(Counterparties)
    __table_args__= (db.CheckConstraint('cusip is not Null or isin is not Null'),)

class Position(db.Model):
    date = db.Column(db.Date, primary_key=True)
    isin = db.Column(db.String(12))
    cusip = db.Column(db.String(9))
    identifier = db.Column(db.String(12), primary_key=True)
    notional = db.Column(db.Float)
    currency = db.Column(CCY)
    factor = db.Column(db.Float)
    price = db.Column(db.Float)
    market_value = db.Column(db.Float)
    accrued = db.Column(db.Float)
    days_accrued = db.Column(db.Integer)
    start_accrued_date = db.Column(db.Date)
    factor_pay_date = db.Column(db.Date)
    paydown = db.Column(db.Float)
    writedown = db.Column(db.Float)
    bbg_type = db.Column(BBG_TYPE)
    strategy = db.Column(BOND_STRAT)


BaseModelForm = model_form_factory(Form)
class ModelForm(BaseModelForm):
    @classmethod
    def get_session(self):
        return db.session