with dayscale as (SELECT dd::date as dt , DATE_PART('days', DATE_TRUNC('month', dd) + '1 MONTH'::INTERVAL - '1 DAY'::INTERVAL) monthdays FROM generate_series( '2023-01-01'::timestamp ,'2026-01-01'::timestamp ,'1 day'::interval) dd ), status(status, status_id, probability_pc) as (VALUES ('Закрыта неуспешно',7,0),('Закрыта успешно',6,100),('Договор подписан',5,100),('Договор на подписании',15,90),('Договор на согласовании',12,70), ('Тестирование',8,50),('Отправлено ТКП',10,20),('Внутреннее согласование',37,10),('Проработка решения',4,10),('Сбор потребностей',1,0) ), line as ( select siv.__id as siv_uid, siv.discount, siv.type as line_pricing_model_id, siv.params ,siv.hash as line_key, siv.user_description, siv.is_actual as siv_is_actual ,siv.version::numeric ,a.index , GREATEST(siv.date_nop,d."_plannedDueDate")::date as dt_from, siv.date_end::date as dt_to ,siv.is_easy as is_simple, siv.cnt as quantity -- maybe should mutliply , a.__id as agreement_uid, a.contract_uid, a.is_actual as agreement_is_actual, a.deal_uid ,d."_plannedDueDate", d.__name as deal, d.__status_status as deal_status_id ,c.__name as contract ,s.probability_pc from elma.deals_services siv left outer join elma.additional_agreements a on (a.__id = ANY(siv.additional_agreement)) /*это только потому, что массив'*/ left outer join elma.deals d on (d.__id = ANY(siv.deal)) left outer join elma.aggrements c on (a.contract_uid = c.__id) left outer join status s on (d.__status_status=s.status_id) ) select * from line where deal_status_id=4