CREATE OR REPLACE FORCE VIEW OU_CSDB.DEBT_DAILY_MARS AS SELECT A_KEY , NEWUPDATED , IDLOADDATE_DIM , EXTERNALCODE_ISIN , EXTERNALCODETYPE_NC , EXTERNALCODE_NATIONAL , IDIRINSTRUMENT , SHORTNAME , IDIRDEPOSITORY , IDIRDEBTTYPE , IDIRASSETSECTYPE , IDIRCLASSIFICATIONCODE_CFI , IDIRCLASSIFICATIONCODE_ESAI , IDIRCLASSIFICATIONCODE_ESAI_DM , IDIRCURRENCY_NOMINAL , AMOUNTISSUED , AMOUNTOUTSTANDING , AMOUNTOUTSTANDING_EUR , POOLFACTOR , ISSUEPRICE , IDISSUEDATE , IDIRCOUPONTYPE , IDIRCOUPONFREQUENCY , IDIRCURRENCY_COUPON , COUPONRATE , COUPONDATE , IDIRREDEMPTIONTYPE , IDIRREDEMPTIONFREQUENCY , IDIRCURRENCY_REDEMPTION , REDEMPTIONPRICE , IDMATURITYDATE , IDIRORGANISATIONALIASTYPE_IS , ISSUERSOURCECODE , ISSUEREXTERNALCODE_MFI , ISSUEREXTERNALCODE_BIC , ISSUEREXTERNALCODE_BEI , IDIRORGANISATION_ISSUER , ISSUERNAME , IDIRCOUNTRY , IDIRCOUNTRY_DM , IDIRCLASSIFICATIONCODE_ESAO , IDIRCLASSIFICATIONCODE_ESAO_DM , IDIRCLASSIFICATIONCODE_NACE , PUBLICATIONPRICEDATE , PUBLICATIONPRICE , PUBLICATIONPRICETYPE , PUBLICATIONPRICEQUOTATIONBASIS , MONTHLYAVERAGEPRICE , ACCRUALSTARTDATE , DEBTACCRUALDEBTOR , DEBTACCRUALDEBTOR_DM , DEBTACCRUALCREDITOR , DEBTACCRUALCREDITOR_TYP , ACCRUEDINTEREST , YTMNONOPTIONADJUSTED , ESCB_ISSUER_IDENT , ESCB_ISSUER_IDENT_TYP , IDUDCMPPARTY , AMOUNTOUTSTANDINGTYPE , MARKETCAPITALISATION , MARKETCAPITALISATION_EUR , VA_SECURITYSTATUS , VA_INSTRSUPPLEMENTARYCLASS , VA_RESIDUALMATURITYCLASS , VA_ISINSEC , VA_ISELIGIBLEFOREADB , IDIRCLASSIFICATIONCODE_ESAI10 , IDIRCLASSIFICATIONCODE_ESAO10 , IDIRDEBTTYPE_N , SENIORITY , ISSUEREXTERNALCODE_LEI , A_WORKFLOW_HISTORY_KEY AS A_ETL_LOAD_SET_FK , INSTR_ESA2010_CLASS_VALUETYPE , ISS_ESA2010_CLASS_VALUETYPE , SEC_STATUS_DATE , GROUP_TYPE , HAS_EMBEDDED_OPTION , VOLUME_TRADED , PRIMARY_LISTING_NAME , PRIM_LISTING_RESIDENCY_COUNTRY , INSTR_PORTFOLIO_FLAGS , BOND_DURATION , RESIDUAL_MATURITY , ORIGINAL_MATURITY , CFIN_CLASSIFICATION , COUPONFIRSTPAYMENTDATE , COUPONLASTPAYMENTDATE , COUPONRATEUNDERLYINGCODE_ISIN , COUPONRATESPREAD , COUPONRATEMULTIPLIER , COUPONRATECAP , COUPONRATEFLOOR , IDISSUEDATE_TRANCHE , ISSUEPRICE_TRANCHE , VA_ISPRIVATEPLACEMENT , RIAD_CODE , RIAD_OUID , ESG1 , ESG2 , ESG3 , STRIP , DEPOSITORY_RECEIPT , RULE_144A , REG_S , WARRANT , CSEC_RELEVANCE_STOCK , CSEC_RELEVANCE_GROSS_ISSUANCE , CSEC_RELEVANCE_REDEMPTION , ACCRUING_COUPON , ACCRUING_DISCOUNT , CAST (NULL AS VARCHAR2(4000 )) AS STEPID , CAST (NULL AS VARCHAR2(4000 )) AS PROGRAMNAME , CAST (NULL AS VARCHAR2(4000 )) AS PROGRAMCEILING , CAST (NULL AS VARCHAR2(4000 )) AS PROGRAMSTATUS , CAST (NULL AS VARCHAR2(4000 )) AS ISSUERNACE21SECTOR , CAST (NULL AS VARCHAR2(4000 )) AS INSTRUMENTQUOTATIONBASIS , PLACEHOLDER38 , PLACEHOLDER39 , PLACEHOLDER40 , PLACEHOLDER41 , PLACEHOLDER42 , PLACEHOLDER43 , PLACEHOLDER44 , PLACEHOLDER45 , PLACEHOLDER46 , PLACEHOLDER47 , PLACEHOLDER48 , PLACEHOLDER49 , PLACEHOLDER50 from ODS.CSDB_DEBT_DAILY_ODS;