insert into account_bond( amount,bond_id,bond_month,bond_type,obj_id,remark,bond_name ) values ( #{amount},#{bondId},#{bondMonth},#{bondType},#{objId},#{remark},#{bondName} ) update account_bond t set t.status_cd = #{statusCd} ,t.b_id = #{newBId} , t.amount= #{amount} , t.bond_month= #{bondMonth} , t.create_time= #{createTime} , t.bond_type= #{bondType} , t.obj_id= #{objId} , t.remark= #{remark} , t.bond_name= #{bondName} where 1=1 and t.bond_id= #{bondId}