SAP ABAP Table BAPI_ISSR_BOND_TYPE (ISSR: Zuordnung Wertpapierart - Fonds)
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
Basic Data
Table Category INTTAB    Structure 
Structure BAPI_ISSR_BOND_TYPE   Table Relationship Diagram
Short Description ISSR: Zuordnung Wertpapierart - Fonds    
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 COUNTRY_VAR ISSR_REP_COUNTRY ISSR_REP_COUNTRY CHAR 4   0   TISSR_MARECO
2 FUNDS_KEYDATE ISSR_STICHTAG_FONDS DATUM DATS 8   0   Stichtag Fondsdurchsicht  
3 ASSET_NO ISSR_ASSET_NR ISSR_ASSET_NR CHAR 13   0   Capital Investment Number for Regulatory Reporting  
4 PRODUCT_CATEGORY ISSR_PRODUCT_CATEGORY ISSR_PRODUCT_CATEGORY CHAR 3   0   TISSR_IFPCAT
5 PRODUCT_TYPE ISSR_PRODUCT_TYPE ISSR_PRODUCT_TYPE CHAR 8   0   TISSR_IFPTYP
6 SEC_TYPE ISSR_BONDTYP ISSR_BONDTYP CHAR 2   0   Art der Wertpapiere TISSR_BONDTYP
7 FLG_CONV_BOND ISSR_FLG_CONV_BOND ISSR_FLG_CONV_BOND CHAR 1   0   Investition in Wandelanleihen/Optionsanleihen  
8 FLG_CALLABLE ISSR_FLG_CALLABLE ISSR_FLG_CALLABLE CHAR 1   0   Kapitalanlage ist Callable Bond  
9 FUNDS_SHARE ISSR_FOND_ANTEIL ISSR_FOND_ANTEIL DEC 7   4   Anteil am Fonds in Prozent  
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 BAPI_ISSR_BOND_TYPE COUNTRY_VAR TISSR_MARECO COUNTRY_VAR KEY 1 CN
2 BAPI_ISSR_BOND_TYPE PRODUCT_CATEGORY TISSR_IFPCAT PRODUCT_CATEGORY KEY 1 CN
3 BAPI_ISSR_BOND_TYPE PRODUCT_TYPE TISSR_IFPTYP ISSR_PRODUCTTYPE KEY 1 CN
4 BAPI_ISSR_BOND_TYPE SEC_TYPE TISSR_BONDTYP BONDTYP KEY 1 CN
History
Last changed by/on SAP  20130529 
SAP Release Created in