Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

« Previous Version 5 Next »

CASH Database

Cash activity is stored in the CASH database.

CASH_ACTIVITY Table

The CASH_ACTIVITY table stores trades and non-trade events, such as cash contributions and withdrawals into or out of the portfolio. Note the TRADES table does not include contributions and withdrawals. Additionally, fewer elements are required than are usually stored with trades. Typically, Eagle Performance only needs to know whether the transaction was an inflow or outflow and the net amount of the transaction. The following table lists the key fields in the CASH_ACTIVITY table that are used in performance calculations.

Column

Description

ENTITY_ID

Stores the entity identifier, which joins to the ENTITY table.

CASH_INT

Requires a unique value.

ORIG_TRANS_NUM

Stores the original transaction number, which requires a unique value.

EFFECTIVE_DATE

Stores the performance effective date of the transaction.

SRC_INTFC_INST

Stores the source interface instance, which joins to sources and is used in the performance calculation rule to retrieve the transactions.

SECURITY_ALIAS

Stores the security alias, which joins to security.

TRANS_TYPE

Stores the transaction type that is used in the cash adjustment fields.

AMOUNT

Stores the net amount of the transaction.

You can also store more information about the transaction. For example, the local currency transaction amount.

One of the requirements of the performance return calculator is that the ORIG_TRANS_NUM column be unique. It is required to be unique because the function for data editing, or scrubbing, of transactions in the database needs to link the original and scrubbed transactions together to prevent double-counting of transactions in the return calculation.

  • No labels