b_info_callannouncementdate VARCHAR2(8)赎回公告日b_info_callexdate VARCHAR2(8)赎回履行结果公告日b_info_callamount NUMBER(20,4)赎回总面额(亿元) b_info_calloutstanding NUMBER(20,4)继续托管总面额(亿元) 5.125中国债券回售条款执行说明- CBondPut字段字段类型字段名称备注OBJECT_ID VARCHAR2(100)对象ID s_info_windcode VARCHAR2(40) Wind代码b_info_repurchasedate VARCHAR2(8)回售日b_info_repurchaseprice NUMBER(20,4)每百元面值回售价格(元) b_info_putannouncementdate VARCHAR2(8)回售公告日b_info_putexdate VARCHAR2(8)回售履行结果公告日b_info_putamount NUMBER(20,4)回售总面额(亿元) b_info_putoutstanding NUMBER(20,4)继续托管总面额(亿元) b_info_repurchasestartdate VARCHAR2(8)回售行使开始日b_info_repurchaseenddate VARCHAR2(8)回售行使截止日5.126中国债券浮息债基础利率属性- CBondfloatingrate字段字段类型字段名称备注OBJECT_ID VARCHAR2(100)对象ID s_info_windcode VARCHAR2(40) Wind代码b_info_benchmarkcode NUMBER(9,0)基准利率代码1、SHIBOR 2、LIBOR 3、7天回购定盘利率4、7天回购利率平均值5、半年期定期存款利率6、三个月定期存款利率7、1年期定期存款利率b_info_marketrateornot NUMBER(5,0)基准利率是否是市场化利率b_info_interestcode VARCHAR2(20)市场化利率代码b_info_interestfloor NUMBER(20,4)保底利率(%) b_info_paymentdaytype VARCHAR2(2)计算基准利率所用付息日类