-- Schema: C6MartPeriodico -- Stored Procedure: PL_S103TabellaEmittenti -- ============================================= -- Author: -- Create date: <25052010> -- Description: < SEZIONE 103> -- ============================================= --EXEC [C6MartPeriodico].[PL_S103TabellaEmittenti] 'S','RTRRLF23S12Z105V' CREATE procedure [C6MartPeriodico].[PL_S103TabellaEmittenti] -- Add the parameters for the stored procedure here @Rete char(1), @CodiceFiscale varchar(16) AS BEGIN -- SET NOCOUNT ON added to prevent extra result sets from -- interfering with SELECT statements. SET NOCOUNT ON; declare @patr_compl decimal(18,3) select @patr_compl=sum(ctv_prodotto) from c6martperiodico.patrimonio_emittenti where cod_fiscale =@codicefiscale and rete=@rete and ctv_prodotto > 0 SELECT COD_FISCALE, RETE, FLG_RISKCLASS1, FLG_RISKCLASS2, FLG_RISKCLASS3, FLG_RISKCLASS4, FLG_RISKCLASS5, FLG_RISKCLASS6, FLG_RISKCLASS7, FLG_RISKCLASS8, FLG_RISKCLASS9, FLG_RISKCLASS10, INTERMEDIARIO, ISSUER, STOCKSCounterValue, bondsCounterValue, CONCENTRATION_ISSUER, CONCENTRATION, NC FROM ( -- PER INTERMEDIARIO SELECT COD_FISCALE, RETE, MAX(FLG_RISKCLASS1) AS FLG_RISKCLASS1, MAX(FLG_RISKCLASS2) AS FLG_RISKCLASS2, MAX(FLG_RISKCLASS3) AS FLG_RISKCLASS3, MAX(FLG_RISKCLASS4) AS FLG_RISKCLASS4, MAX(FLG_RISKCLASS5) AS FLG_RISKCLASS5, MAX(FLG_RISKCLASS6) AS FLG_RISKCLASS6, MAX(FLG_RISKCLASS7) AS FLG_RISKCLASS7, MAX(FLG_RISKCLASS8) AS FLG_RISKCLASS8, MAX(FLG_RISKCLASS9) AS FLG_RISKCLASS9, MAX(FLG_RISKCLASS10) AS FLG_RISKCLASS10, --V nel caso sia null è BF??? isnull(INTERMEDIARIO,'BF') AS INTERMEDIARIO, EMITTENTE AS ISSUER, SUM(STOCKSCounterValue) AS STOCKSCounterValue, sum(bondsCounterValue) AS bondsCounterValue, 0 as CONCENTRATION_ISSUER , --V normalizzo la percentuale per essere rappresentato sul report MAX(CONCENTRATION)* 100 AS CONCENTRATION, sum(case when copertura > 0 then 0 else 1 end) as nc FROM ( SELECT V.COD_FISCALE, V.RETE, INTERMEDIARIO, CREDITRISKCLASS, EMITTENTE, CASE WHEN CREDITRISKCLASS ='Rischio 1/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS1, CASE WHEN CREDITRISKCLASS ='Rischio 2/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS2, CASE WHEN CREDITRISKCLASS ='Rischio 3/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS3, CASE WHEN CREDITRISKCLASS ='Rischio 4/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS4, CASE WHEN CREDITRISKCLASS ='Rischio 5/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS5, CASE WHEN CREDITRISKCLASS ='Rischio 6/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS6, CASE WHEN CREDITRISKCLASS ='Rischio 7/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS7, CASE WHEN CREDITRISKCLASS ='Rischio 8/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS8, CASE WHEN CREDITRISKCLASS ='Rischio 9/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS9, CASE WHEN CREDITRISKCLASS ='Rischio 10/10' THEN 1 ELSE 0 END AS FLG_RISKCLASS10, SUM(CTV_AZ_OB_EMIT) as CTV_AZ_OB_EMIT, SUM(CTV_PRODOTTO) AS CTV_PRODOTTO, sum(CTV_AZIONARIO) AS STOCKSCounterValue, sum(CTV_OBBLIGAZIONARIO) AS bondsCounterValue, 0 AS CONCENTRATION_ISSUER , SUM(CTV_AZ_OB_EMIT_INTER)/SUM(CTV_COMPL_NOCC_NEG) AS CONCENTRATION, sum(copertura) as copertura FROM C6MARTPERIODICO.PATRIMONIO_EMITTENTI V WHERE 1=1 AND V.COD_FISCALE = @CODICEFISCALE AND V.RETE = @RETE AND (CTV_AZIONARIO >0 OR CTV_OBBLIGAZIONARIO > 0) GROUP BY V.COD_FISCALE, V.RETE, INTERMEDIARIO, EMITTENTE, CREDITRISKCLASS ) Y GROUP BY COD_FISCALE, RETE, INTERMEDIARIO, EMITTENTE --V devo rappresentare solo le 3 principali me le ordine e nel codice scorro per le prime 3 dopo aver filtrato per intermediario --ORDER BY CONCENTRATION DESC UNION --COMPLESSIVO SELECT COD_FISCAL