SAP ABAP Class CL_ISSR_BVI_SERVICES (FSSR: Service Klasse für BVI Verarbeitung)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FS-SR (Application Component) Regulatory reporting for insurance companies
     VVSRFISL (Package) Statutory Reporting for Insurance from FI-SL
Properties
Class CL_ISSR_BVI_SERVICES  
Short Description FSSR: Service Klasse für BVI Verarbeitung    
Super Class    
Instantiability of a Class 2  Public 
Final    
General Data
Message Class    
Program status     
Category 0   
Package VVSRFISL   Statutory Reporting for Insurance from FI-SL 
Created 20110518   SAP 
Last change 20130531   SAP 
Shared Memory-enabled    
Fixed point arithmetic    
Unicode checks active    
Forward declarations
Class CL_ISSR_BVI_SERVICES has no forward declaration.
Interfaces
Class CL_ISSR_BVI_SERVICES has no interface implemented.
Friends
Class CL_ISSR_BVI_SERVICES has no friend class.
Attributes
Class CL_ISSR_BVI_SERVICES has no attribute.
Methods
# Method Level Visibility Method type Description Created on
1 CALC_FUNDSSHARE_ITYPE_QUOTA Static method Public Method 20111018
2 CONVERT_FUNDS_BENCH Static method Public Method 20111006
3 CONVERT_FUNDS_TERM Static method Public Method 20111006
4 CONVERT_FUNDS_TYPE Static method Public Method 20111006
5 GET_DS_CHANGES Static method Public Method 20111006
6 GET_DS_CHANGES_LOCATION Static method Public Method 20111006
7 GET_DS_CHANGES_PARTNER Static method Public Method 20111006
Events
Class CL_ISSR_BVI_SERVICES has no event.
Types
Class CL_ISSR_BVI_SERVICES has no local type.
Method Signatures

Method CALC_FUNDSSHARE_ITYPE_QUOTA Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Changing CT_FUNDSSHARE_BVI Value transfer Type reference (TYPE) BAPI_ISSR_T_ASSET_SPEC_FTYPQ FSSR: Proz. Anteile nach Anlageart je Quote (Durchsicht) 20111018

Method CALC_FUNDSSHARE_ITYPE_QUOTA on class CL_ISSR_BVI_SERVICES has no exception.

Method CONVERT_FUNDS_BENCH Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Exporting ED_FUNDS_BENCH Value transfer Type reference (TYPE) ISSR_FONDS_BENCH Fonds-Benchmark (Erfolgsmessung des Fonds) 20111006
2 Importing ID_ASSET_NO Value transfer Type reference (TYPE) ISSR_ASSET_NR Kapitalanlagennummer im Meldewesen 20111006
3 Importing ID_COUNTRY_VAR Value transfer Type reference (TYPE) ISSR_REP_COUNTRY Meldewesenvariante 20111006
4 Importing ID_LANGU Value transfer Type reference (TYPE) SY-LANGU Sprachenschlüssel der aktuellen Textumgebung 20111006
5 Importing ID_TEXT Value transfer Type reference (TYPE) TEXT100 Text Länge 100 20111006

Method CONVERT_FUNDS_BENCH on class CL_ISSR_BVI_SERVICES has no exception.

Method CONVERT_FUNDS_TERM Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Exporting ED_FUNDS_TERM Value transfer Type reference (TYPE) ISSR_FONDS_TERM Festgelegte Rückgabe-/Kündigungsfristen für Fondsanteile 20111006
2 Importing ID_TEXT Value transfer Type reference (TYPE) TEXT30 Text 30 Stellen 20111006

Method CONVERT_FUNDS_TERM on class CL_ISSR_BVI_SERVICES has no exception.

Method CONVERT_FUNDS_TYPE Signature

Method CONVERT_FUNDS_TYPE on class CL_ISSR_BVI_SERVICES has no parameter.
Method CONVERT_FUNDS_TYPE on class CL_ISSR_BVI_SERVICES has no exception.

Method GET_DS_CHANGES Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Changing CS_BENCHM Call by reference Type reference (TYPE) BAPI_ISSR_BENCHM_TYPE_C ISSR: Benchmarkzusammensetzung des Fonds (Change Indicator) 20111006
2 Changing CS_BOND Call by reference Type reference (TYPE) BAPI_ISSR_BOND_TYPE_C ISSR: Zuordnung Wertpapierart - Fonds (Change Indicator) 20111006
3 Changing CS_INDUSTRY Call by reference Type reference (TYPE) BAPI_ISSR_INDUSTRY_TYPE_C ISSR: Branchenstruktur des Fonds (Change Indicator) 20111006
4 Changing CS_INVESTM Call by reference Type reference (TYPE) BAPI_ISSR_INVESTM_TYPE_C ISSR: Zusammensetz. nach Anl.art, Sitz .. (Change Indicator) 20111006
5 Changing CS_RATING Call by reference Type reference (TYPE) BAPI_ISSR_RATING_TYPE_C ISSR: Ratingeinstufung des Fonds (Change Indicator) 20111006
6 Importing ID_ASSET_NR Value transfer Type reference (TYPE) ISSR_ASSET_NR Kapitalanlagennummer im Meldewesen 20111006
7 Importing ID_COUNTRY_VAR Value transfer Type reference (TYPE) ISSR_REP_COUNTRY Meldewesenvariante 20111006
8 Importing ID_PRODUCT_CATEGORY Value transfer Type reference (TYPE) ISSR_PRODUCT_CATEGORY Meldewesen-Produkttyp 20111006
9 Importing ID_PRODUCT_TYPE Value transfer Type reference (TYPE) ISSR_PRODUCT_TYPE Meldewesen-Produktart 20111006
10 Importing ID_STICHTAG_FONDS Value transfer Type reference (TYPE) ISSR_STICHTAG_FONDS Stichtag Fondsdurchsicht 20111006
# Exception Resumable Description Created on
1 NO_MORE_DATA 20111006

Method GET_DS_CHANGES_LOCATION Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Changing CS_LOCATION Value transfer Type reference (TYPE) BAPI_ISSR_ASSET_SPEC_LOCAT_C FSSR: Durchsicht nach Sitz und Art des Schuldners (Chg Ind.) 20111006

Method GET_DS_CHANGES_LOCATION on class CL_ISSR_BVI_SERVICES has no exception.

Method GET_DS_CHANGES_PARTNER Signature

# Type Parameter Pass Value Optional Typing Method Associated Type Default value Description Created on
1 Changing CT_PARTNER Value transfer Type reference (TYPE) ISSR_T_ADMN_ASSET_SPEC_BP_C FSSR: Durchsicht nach Sitz und Art des Schuldners (Chg Ind.) 20111019

Method GET_DS_CHANGES_PARTNER on class CL_ISSR_BVI_SERVICES has no exception.
History
Last changed by/on SAP  20130531 
SAP Release Created in