
[dbo].[usm_exchange_rate]
CREATE TABLE [dbo].[usm_exchange_rate]
(
[currency] [varchar] (50) COLLATE SQL_Latin1_General_CP1_CS_AS NOT NULL,
[exchange_date] [datetime] NOT NULL,
[symbol_1] [varchar] (3) COLLATE SQL_Latin1_General_CP1_CI_AS NULL,
[symbol_2] [nvarchar] (16) COLLATE SQL_Latin1_General_CP1_CI_AS NULL,
[rate] [varchar] (64) COLLATE SQL_Latin1_General_CP1_CS_AS NULL
) ON [PRIMARY]
GO
ALTER TABLE [dbo].[usm_exchange_rate] ADD CONSTRAINT [XPKusm_exchange_rate] PRIMARY KEY CLUSTERED ([currency], [exchange_date]) ON [PRIMARY]
GO
GRANT SELECT ON [dbo].[usm_exchange_rate] TO [usmgroup]
GRANT INSERT ON [dbo].[usm_exchange_rate] TO [usmgroup]
GRANT DELETE ON [dbo].[usm_exchange_rate] TO [usmgroup]
GRANT UPDATE ON [dbo].[usm_exchange_rate] TO [usmgroup]
GO