SAP ABAP Table BAPI1076_BOND (Bond parameters)
Hierarchy
☛
BBPCRM (Software Component) BBPCRM
⤷ CRM (Application Component) Customer Relationship Management
⤷ CRM_APPLICATION (Package) All CRM Components Without Special Structure Packages
⤷ FVVW (Package) Treasury Management: Securities
⤷ CRM (Application Component) Customer Relationship Management
⤷ CRM_APPLICATION (Package) All CRM Components Without Special Structure Packages
⤷ FVVW (Package) Treasury Management: Securities
Basic Data
Table Category | INTTAB | Structure |
Structure | BAPI1076_BOND | Table Relationship Diagram |
Short Description | Bond parameters |
Delivery and Maintenance
Pool/cluster | ||
Delivery Class | ||
Data Browser/Table View Maintenance | Display/Maintenance Allowed with Restrictions |
Components
Field | Key | Data Element | Domain | Data Type |
Length | Decimal Places |
Short Description | Check table |
|
---|---|---|---|---|---|---|---|---|---|
1 | SHORT_TEXT | XALKZ | XKBEZ | CHAR | 15 | 0 | Short name | ||
2 | LONG_TEXT | XALLB | XLBEZ | CHAR | 60 | 0 | Long name | ||
3 | PRODUCT_TYPE | VVSART | VVSART | CHAR | 3 | 0 | Product Type | TZPA | |
4 | LISTED | SEC_LISTED | ATXF1 | CHAR | 1 | 0 | Indicator: Listed on an Exchange | ||
5 | QUOTATION | SNOTI | SNOTI | NUMC | 1 | 0 | Quotation Indicator | ||
6 | ISSUER | REPKE_NEW | BU_PARTNER | CHAR | 10 | 0 | Issuer Identity Key | * | |
7 | ISSUE_CURRENCY | REWHR | WAERS | CUKY | 5 | 0 | Issue currency | TCURC | |
8 | ISSUE_CURRENCY_ISO | ISOCD | ISOCD | CHAR | 3 | 0 | ISO currency code | ||
9 | ISSUE_PRICE | VVKBEMPR | VVKWKURS | DEC | 15 | 6 | Issue price independent of currency | ||
10 | ISSUE_RATE | PEMKURS | DEC3_7 | DEC | 10 | 7 | Issue rate in percent | ||
11 | SSTBE | SSTBE | JANEI | CHAR | 1 | 0 | Tax treatment indicator | ||
12 | SECURITY_CATEGORY | ALWPKL | ALWPKL | CHAR | 3 | 0 | General Security Classification | TW22 | |
13 | CLASSIFICATION | SWPKLASS | SWPKLASS | NUMC | 3 | 0 | Classification of bond | TW01 | |
14 | SECURITY_TYPE | SWERTTYP | SAKTTYP | NUMC | 1 | 0 | Security Type ID | TW20 | |
15 | NOMINAL_VALUE | BAPI_BNOMS | BAPICURR | DEC | 23 | 4 | Nominal value | ||
16 | TRADING_UNIT | BAPI_BNHAE | BAPICURR | DEC | 23 | 4 | Nominal per trading unit | ||
17 | ISSUER_CALL | DKEMI | DATUM | DATS | 8 | 0 | Issuer call date | ||
18 | BONDHOLDER_CALL | DKOBL | DATUM | DATS | 8 | 0 | Bondholder call date | ||
19 | ELIGIBLE | SEC_ELIGIBLE | ATXF1 | CHAR | 1 | 0 | Eligibility indicator | ||
20 | ELIGIBLE_AS_COLL | SEC_AS_COLL | ATXF1 | CHAR | 1 | 0 | Indicator eligible as collateral | ||
21 | ELIGIBLE_TO_SERVE | SEC_TO_SERVE | ATXF1 | CHAR | 1 | 0 | Eligible for premium reserve fund | ||
22 | SECONDARY_LOANS | VVJNACHR | JANE | CHAR | 1 | 0 | Secondary loans ID | ||
23 | FINAL_DUE_DATE | DELFZ | DATUM | DATS | 8 | 0 | End of Term | ||
24 | INCLUSIVE_INDICATOR | VVWSINCL | XFELD | CHAR | 1 | 0 | Inclusive indicator | ||
25 | ISSUE_YIELD | ISSUE_YIELD | DEC3_7 | DEC | 10 | 7 | Issue Yield | ||
26 | YIELD_METHOD | SEFFMETH | SEFFMETH | NUMC | 1 | 0 | Effective Interest Method (Financial Mathematics) | ||
27 | YIELD_FREQUENCY | VVZVRHYEFF | NUMC03 | NUMC | 3 | 0 | Int.sttlmnt frequency for effective int.rate calc.in months | ||
28 | INTEREST_CALC_METHOD | SZBMETH | SZBMETH | CHAR | 1 | 0 | Interest Calculation Method | ||
29 | REPAYMENT_TYPE | STILGART | STILGART | NUMC | 1 | 0 | Repayment Type Indicator | ||
30 | CUTTING_DAYS | BATRT | NUMC03 | NUMC | 3 | 0 | Number of cutting days | ||
31 | DISCOUNTED | SDISKO | SDISKO | CHAR | 1 | 0 | Discounted | ||
32 | OBLIGATION_TO_OFFER | DANDPFL | DATUM | DATS | 8 | 0 | Obligation to offer for sale until | ||
33 | RIGHT_TO_OFFER | DANDRE | DATUM | DATS | 8 | 0 | Right to offer until | ||
34 | DRAWING | SEC_JAUSL | ATXF1 | CHAR | 1 | 0 | Drawing Indicator | ||
35 | DRAWING_DATE | DAUSL | DATUM | DATS | 8 | 0 | Drawing date | ||
36 | ISSUE_START | DEMBEG | DATUM | DATS | 8 | 0 | Bonds and debentures issue start | ||
37 | ROUNDING_RULE | TPM_ROUNDING_RULE | TPM_ROUNDING_RULE | CHAR | 4 | 0 | Rounding Rule | * | |
38 | CALENDAR_WT | TFMSKALIDWT | WFCID | CHAR | 2 | 0 | Interest Calendar | * | |
39 | TRANCHE_CLASSIF | VVTRANCHECL | VVTRANCHECL | NUMC | 3 | 0 | Tranche Classification | VWIRPTRANCLASSIF |
Foreign Keys
Source Table | Source Column | Foreign Table | Foreign Column | Dependency Factor | Cardinality left | Cardinality right | |
---|---|---|---|---|---|---|---|
1 | BAPI1076_BOND | CLASSIFICATION | TW01 | SWPKLASS | |||
2 | BAPI1076_BOND | ISSUE_CURRENCY | TCURC | WAERS | 1 | CN | |
3 | BAPI1076_BOND | PRODUCT_TYPE | TZPA | GSART | 1 | CN | |
4 | BAPI1076_BOND | SECURITY_CATEGORY | TW22 | ALWPKL | |||
5 | BAPI1076_BOND | SECURITY_TYPE | TW20 | SWERTTYP | |||
6 | BAPI1076_BOND | TRANCHE_CLASSIF | VWIRPTRANCLASSIF | TRANCHE_CLASSIF |
History
Last changed by/on | SAP | 20131127 |
SAP Release Created in |