Sort Order is Different in Activity Details - Allocation Screen Vs. Valuation Screen

(Doc ID 2117033.1)

Last updated on NOVEMBER 09, 2017

Applies to:

Oracle Insurance Policy Administration J2EE - Version and later
Information in this document applies to any platform.


On : version, Activity

Actual Behavior
There is a minor difference in the sort order on the Activity Details Allocation screen vs. Valuation screen.
On the Allocation screen Pan Fund is displayed before PIM Fund but these are reversed on the Valuation screen.

Expected Behavior
Funds should display in the same alphabetical order in all Activity Detail tabs and be case-insensitive.


Sign In with your My Oracle Support account

Don't have a My Oracle Support account? Click to get started

My Oracle Support provides customers with access to over a
Million Knowledge Articles and hundreds of Community platforms