select t1."MainType" AS "MainType", t1."Oid" AS "Oid", t1."CustomersFrom" AS "CustomersFrom", t1."Customers" AS "Customers", t1."PartnerType" AS "PartnerType", t1."ConnectInfo" AS "ConnectInfo", t1."CurrencyName" AS "CurrencyName", t1."DebitTotalHUF" AS "DebitTotalHUF", t1."CreditTotalHUF" AS "CreditTotalHUF", t1."DebitTotalDEV" AS "DebitTotalDEV", t1."CreditTotalDEV" AS "CreditTotalDEV", t1."BallanceHUF" AS "BallanceHUF", t1."BallanceDEV" AS "BallanceDEV", t1."ShortName" AS "ShortName", t1."Description" AS "Description", t1."DateExecution" AS "DateExecution", t1."DateCreated" AS "DateCreated", t1."DatePayment" AS "DatePayment", t1."DelayedDay" AS "DelayedDay", t1."DelayedRange" AS "DelayedRange", t1."CurrencyName_Account" AS "CurrencyName_Account", t1."AmountHUF_Account" AS "AmountHUF_Account", t1."AmountDEV_Account" AS "AmountDEV_Account", t1."DateExecution_Account" AS "DateExecution_Account", t2."BallanceState" AS "BallanceState", t2."BallanceRateDiff" AS "BallanceRateDiff" from "vv_PartnerConnectionInfoDetail" t1 join "vv_PartnerConnectionInfoDetailGroup" t2 on t1."CustomersFrom"=t2."CustomersFrom" and t1."Customers"=t2."Customers" and t1."PartnerType"=t2."PartnerType" and t1."ConnectInfo"=t2."ConnectInfo"