SAP ABAP Table BAPI1076_WARRANTBOND (Warrant bonds 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
Basic Data
Table Category INTTAB    Structure 
Structure BAPI1076_WARRANTBOND   Table Relationship Diagram
Short Description Warrant bonds 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 CUM_EX_INDICATOR SCUEX SCUEX NUMC 1   0   Cum/ex indicator  
33 NUMBER_OF_WARRANTS BOPHE NUM03 NUMC 3   0   Number of warrants per nominal value  
34 DRAWING SEC_JAUSL ATXF1 CHAR 1   0   Drawing Indicator  
35 DRAWING_DATE DAUSL DATUM DATS 8   0   Drawing date  
36 UNDERLYING VVRANLW WP_RANL CHAR 13   0   Security ID Number *
37 UNDERLYING2 VVRANLW WP_RANL CHAR 13   0   Security ID Number *
38 ISSUE_START DEBEG DATUM DATS 8   0   Issue start date  
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 BAPI1076_WARRANTBOND CLASSIFICATION TW01 SWPKLASS    
2 BAPI1076_WARRANTBOND ISSUE_CURRENCY TCURC WAERS 1 CN
3 BAPI1076_WARRANTBOND PRODUCT_TYPE TZPA GSART 1 CN
4 BAPI1076_WARRANTBOND SECURITY_CATEGORY TW22 ALWPKL    
5 BAPI1076_WARRANTBOND SECURITY_TYPE TW20 SWERTTYP    
History
Last changed by/on SAP  20130529 
SAP Release Created in