SAP ABAP Table JBIUCDFP (Receiver Structure for Financial Product Class Data)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   IS-B-DP (Application Component) Transaction Data Pool
     JBD (Package) Application development IS-B Data Pool
Basic Data
Table Category INTTAB    Structure 
Structure JBIUCDFP   Table Relationship Diagram
Short Description Receiver Structure for Financial Product Class Data    
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 SET_TYPE JBDCDFP_SETTY JBDCDFP_SETTY NUMC 2   0   Record Category for Class Data for the Financial Product  
2 MODE JBSMODE JBSMODE CHAR 1   0   Mode of Data Flow  
3 TYPE SARTBEZ SARTBEZ NUMC 3   0   ID for type of relationship between product categories TWRF
4 SECURITY_NUMBER WP_RANL WP_RANL CHAR 13   0   Security ID number *
5 CATEGORY SANLF VVSANLF NUMC 3   0   Product Category TZAF
6 STOCK_EXCHANGE VVRHANDPL VVRHANDPL CHAR 10   0   Exchange TWH01
7 CURRENCY WAERS WAERS CUKY 5   0   Currency Key *
8 CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
9 FLAT_PRICE VVJFLAT KENZX CHAR 1   0   Flat price - Yes/No  
10 HOME_EXCHANGE VVJHEIBOE KENZX CHAR 1   0   Home exchange - Yes/No  
11 LISTING_KEY VVSBOEN VVSBOEN NUMC 2   0   Listing key TW53
12 INDEX_NUMBER VVRANLWI VVRANLWI NUMC 2   0   No. of the secondary index description for class data TWX1
13 INDEX_NAME VVRANLWXS CHAR20S CHAR 20   0   Secondary index class data  
14 CONDITION_TYPE SKOART SKOART NUMC 4   0   Condition Type (Smallest Subdivision of Condition Records) *
15 VALID_FROM DGUEL_KP DATUM DATS 8   0   Condition Item Valid From  
16 CONDITION_FORM JNULLKON SKONDF CHAR 1   0   Condition Form  
17 AMOUNT VVKBKOND VVKWKURS DEC 15   6   Condition amount independent of currency  
18 REF_SIGN SZSREFVZ SZSREFVZ CHAR 1   0   +/- sign / reference interest rate operator  
19 PERCENTAGE_RATE PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
20 INTEREST_CALC_METHOD SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
21 CALC_DATE DVALUT DATUM DATS 8   0   Calculation Date  
22 CALC_MONTH_END VVSBULT JFLAGG CHAR 1   0   Month-end indicator for calculation date  
23 CALC_INCLUSIV TFMJSINCL TFMSINCL CHAR 1   0   Inclusive indicator for calculation date  
24 CALC_CALENDAR_RULE VVSVWERK T_SWERK NUMC 1   0   Shift calculation date to working day  
25 CALC_DETERMINE_METHOD VVSVMETH T_SVMETH NUMC 1   0   Method for determining the next value date  
26 CALC_DATE_RELATED VVSZEITANT VVSZEITANT NUMC 1   0   Indicator for Pro Rata Temporis Calculations  
27 DUE_DATE DFAELL DATUM DATS 8   0   Due date  
28 DUE_MONTH_END SFULT VVSULT CHAR 1   0   Month-End Indicator for Due Date  
29 DUE_INCLUSIV VVSFINCL VVSINCL NUMC 1   0   Inclusive Indicator for Due Date  
30 DUE_CALENDAR_RULE VVSFWERK T_SWERK NUMC 1   0   Shift due date to working day  
31 DUE_DATE_RELATED VVSFANT VVSFANT NUMC 1   0   Indicator for due date-related FiMa calculations  
32 DUE_DETERMINE_METHOD VVSFMETH T_SFMETH NUMC 1   0   Method for determining the next due date  
33 FREQUENCY_MONTH AMMRHY NUMC03 NUMC 3   0   Frequency in months  
34 CALENDAR SKALID WFCID CHAR 2   0   Factory calendar TFACD
35 FORMULAR_REFERENCE TB_XFORMBE T_FORMBE CHAR 4   0   Formula Reference AT30
36 FORMULAR_REF TB_XFORMBE T_FORMBE CHAR 4   0   Formula Reference AT30
37 VARIABLE_NAME TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
38 VARIABLE_VALUE PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
39 REF_INTEREST_RATE SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate *
40 PFLUCT TFM_PFLUCT DECV3_7 DEC 10   7   Fluctuation margin  
41 RIGHTTYPE TER_RIGHTTYPE TER_RIGHTTYPE NUMC 2   0   Rights category of an executable right  
42 PRICE BAPI_BABTA BAPICURR DEC 23   4   Clearing amount for swap  
43 CURRENCY1 RWHRBAS WAERS CUKY 5   0   Exercise price currency *
44 CURRENCY1_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
45 BASICRATE PBASKURS DEC3_7 DEC 10   7   Basic rate  
46 RANL TER_RANL WP_RANL CHAR 13   0   ID number of reference security of an executable right *
47 STARTDATE DLAVO DATUM DATS 8   0   Term from  
48 ENDDATE DLABI DATUM DATS 8   0   Term to  
49 RANLNEW TER_RANLNEW WP_RANL CHAR 13   0   ID number of new security after swap *
50 SETTLEMENTPAYMENT BAPI_BABTA BAPICURR DEC 23   4   Clearing amount for swap  
51 SETTLEMENTPAYMENT_CURRENCY TER_SWAPPRICE_CURRENCY WAERS CUKY 5   0   Currency of pay-in amount for stock swap TCURC
52 SETTLEMENTPAYMENT_CUR_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
53 RATIONUMERATOR TER_SWAPNUM DEC5_4 DEC 9   4   Swap ratio - numerator  
54 RATIODENOMINATOR TER_SWAPDENUM DEC5_4 DEC 9   4   Swap ratio - denominator  
55 RERF RERF SYCHAR12 CHAR 12   0   Entered by  
56 DERF DERF DATUM DATS 8   0   First Entered on  
57 TERF TERF TIMES TIMS 6   0   Time of Initial Entry  
58 REHER REHER CHAR10 CHAR 10   0   Source of initial entry  
59 RBEAR RBEAR SYCHAR12 CHAR 12   0   Employee ID  
60 DBEAR DBEAR DATUM DATS 8   0   Last Edited on  
61 TBEAR TBEAR TIMES TIMS 6   0   Last Edited at  
62 RBHER RBHER CHAR10 CHAR 10   0   Editing Source  
63 SUB_PRICE BAPI_BBPRU BAPICURR DEC 23   4   Underlying subscription price  
64 SUB_CURRENCY RWBZP WAERS CUKY 5   0   Subscription price currency *
65 SUB_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
66 SUB_NUMERATOR BBVHZ DEC5_4 DEC 9   4   Subscription ratio - Numerator  
67 SUB_DENOMINATOR BBVHN DEC5_4 DEC 9   4   Subscription ratio - Denominator  
68 SUB_PERIOD_FROM DBFRV DATUM DATS 8   0   Subscription period from  
69 SUB_PERIOD_UNTIL DBFRB DATUM DATS 8   0   Date subscription period until  
70 SUB_TRADING_FROM DBHAV DATUM DATS 8   0   Date of subscription rights trading from  
71 SUB_TRADING_UNTIL DBHAB DATUM DATS 8   0   Date of subscription rights trading until  
72 PRICE_REF_SHARE KREAK VVKWKURS DEC 15   6   Post Subscription Rights  
73 DIVIDEND_ADV_DIS BAPI_BVNJA BAPICURR DEC 23   4   Advantage/disadvantage dividend of new stock  
74 RANLUNDERLYING TER_SUBRANLNEW WP_RANL CHAR 13   0   Security ID number of the new stock *
75 SUBSCRIPTIONRATE TER_SUBRATE DEC3_7 DEC 10   7   Subscription rate  
76 REFERENCEUNIT BAPI_VVBBEZEIN BAPICURR DEC 23   4   Reference units  
77 REFERENCE_CURR VVRBEZEIN WAERS CUKY 5   0   Reference unit currency *
78 REFERENCE_CURR_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
79 SHORTTEXT KURZTEXT TEXT40 CHAR 40   0   Short text/description of the object  
80 INPAYMENT_RATE KZAHLAKT DEC3_7 DEC 10   7   Pay-in rate  
81 PAYMENT_AMOUNT BAPI_BZAHLAKT BAPICURR DEC 23   4   Pay-in amount  
82 NUMBER_OF_SHARES AAAAKTIE DEC12 DEC 12   0   Number of stocks issued  
83 CAPITAL_PR_SHARE VVBNEWE VVKWKURS DEC 15   6   Nominal Value per Stock (Independent of Currency)  
84 VOTES_PER_SHARE VOTES_PER_SHARE VOTES_PER_SHARE DEC 15   6   Voting Rights per Share  
85 EXTRA_CAPITAL BAPI_EXTRACAP BAPICURR DEC 23   4   Additional Stock Capital  
86 AGGREGATION_KEY AGGREGATION_KEY AGGREGATION_KEY CHAR 13   0   Aggregation Key  
87 SHORT_TEXT XALKZ XKBEZ CHAR 15   0   Short name  
88 LONG_TEXT XALLB XLBEZ CHAR 60   0   Long name  
89 PRODUCT_TYPE VVSART VVSART CHAR 3   0   Product Type *
90 LISTED SEC_LISTED ATXF1 CHAR 1   0   Indicator: Listed on an Exchange  
91 QUOTATION SNOTI SNOTI NUMC 1   0   Quotation Indicator  
92 ISSUER REPKE_NEW BU_PARTNER CHAR 10   0   Issuer Identity Key *
93 ISSUE_CURRENCY REWHR WAERS CUKY 5   0   Issue currency *
94 ISSUE_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
95 ISSUE_PRICE VVKBEMPR VVKWKURS DEC 15   6   Issue price independent of currency  
96 ISSUE_RATE PEMKURS DEC3_7 DEC 10   7   Issue rate in percent  
97 SSTBE SSTBE JANEI CHAR 1   0   Tax treatment indicator  
98 OPTION_CATEGORY SOPTTYP SOPTTYP NUMC 1   0   Indicator: Option Category  
99 TERM_FROM DLAVO DATUM DATS 8   0   Term from  
100 TERM_UPTO DLABI DATUM DATS 8   0   Term to  
101 EXERCISE_TYPE SOPTAUS SOPTAUS NUMC 1   0   Exercise Type (American or European)  
102 EXERCISE_MIN AMINDEST ASTUECK DEC 15   5   Exercise minimum  
103 NUMERATOR BOVZA DEC5_4 DEC 9   4   Option ratio - numerator  
104 SETTLEMENT SVERROPT SVERROPT NUMC 1   0   Option Settlement Indicator  
105 BASIC_RATE PBASKURS DEC3_7 DEC 10   7   Basic rate  
106 REFERENCE_UNITS BAPI_VVBBEZEIN BAPICURR DEC 23   4   Reference units  
107 REFERENCE_CURRENCY VVRBEZEIN WAERS CUKY 5   0   Reference unit currency *
108 REFERENCE_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
109 SECURITY_CATEGORY ALWPKL ALWPKL CHAR 3   0   General Security Classification *
110 ELIGIBLE_TO_SERVE SEC_TO_SERVE ATXF1 CHAR 1   0   Eligible for premium reserve fund  
111 UNDERLYING VVRANLW WP_RANL CHAR 13   0   Security ID Number *
112 DENOMINATOR BOVNE DEC5_4 DEC 9   4   Option ratio - Denominator  
113 EXERCISE_PRICE BAPI_BBASPREI BAPICURR DEC 23   4   Base Price  
114 EXERCISE_CURRENCY RWHRBAS WAERS CUKY 5   0   Exercise price currency *
115 EXERCISE_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
116 SECURITY_INDEX IDX CHAR10 CHAR 10   0   Securities Index  
117 INDEX_MARK BAPI_BINDEX BAPICURR DEC 23   4   Index point per monetary unit  
118 INDEX_BASE VVBASIS DEC5_3 DEC 8   3   Index base  
119 INDEX_CURRENCY RINDWHR WAERS CUKY 5   0   Index currency TCURC
120 INDEX_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
121 SECURITY_TYPE SWERTTYP SAKTTYP NUMC 1   0   Security Type ID *
122 NOMINAL_VALUE BAPI_BNOMS BAPICURR DEC 23   4   Nominal value  
123 TRADING_UNIT BAPI_BNHAE BAPICURR DEC 23   4   Nominal per trading unit  
124 ISSUER_CALL DKEMI DATUM DATS 8   0   Issuer call date  
125 ELIGIBLE SEC_ELIGIBLE ATXF1 CHAR 1   0   Eligibility indicator  
126 ELIGIBLE_AS_COLL SEC_AS_COLL ATXF1 CHAR 1   0   Indicator eligible as collateral  
127 SECONDARY_LOANS VVJNACHR JANE CHAR 1   0   Secondary loans ID  
128 FINAL_DUE_DATE DELFZ DATUM DATS 8   0   End of Term  
129 INCLUSIVE_INDICATOR VVWSINCL XFELD CHAR 1   0   Inclusive indicator  
130 ISSUE_YIELD ISSUE_YIELD DEC3_7 DEC 10   7   Issue Yield  
131 YIELD_METHOD SEFFMETH SEFFMETH NUMC 1   0   Effective Interest Method (Financial Mathematics)  
132 YIELD_FREQUENCY VVZVRHYEFF NUMC03 NUMC 3   0   Int.sttlmnt frequency for effective int.rate calc.in months  
133 REPAYMENT_TYPE STILGART STILGART NUMC 1   0   Repayment Type Indicator  
134 DISCOUNTED SDISKO SDISKO CHAR 1   0   Discounted  
135 OBLIGATION_TO_OFFER DANDPFL DATUM DATS 8   0   Obligation to offer for sale until  
136 RIGHT_TO_OFFER DANDRE DATUM DATS 8   0   Right to offer until  
137 DRAWING SEC_JAUSL ATXF1 CHAR 1   0   Drawing Indicator  
138 DRAWING_DATE DAUSL DATUM DATS 8   0   Drawing date  
139 ISSUE_START DEMBEG DATUM DATS 8   0   Bonds and debentures issue start  
140 CLASSIFICATION SWPKLASS SWPKLASS NUMC 3   0   Classification of bond *
141 BONDHOLDER_CALL DKOBL DATUM DATS 8   0   Bondholder call date  
142 CUTTING_DAYS BATRT NUMC03 NUMC 3   0   Number of cutting days  
143 CONV_PERIOD_FROM DWAFV DATUM DATS 8   0   Conversion period from  
144 CONV_PERIOD_TO DWAFB DATUM DATS 8   0   Conversion period until  
145 CONV_RATIO_NOMINATOR BWAVZ DEC5_4 DEC 9   4   Conversion ratio - Numerator  
146 CONV_RATIO_DENOMINATOR BWAVN DEC5_4 DEC 9   4   Conversion ratio - Denominator  
147 CONV_PREMIUM BAPI_BAUFP BAPICURR DEC 23   4   Conversion premium  
148 CURRENCY_MARKUP RWAUF WAERS CUKY 5   0   Currency markup TCURC
149 CURRENCY_MARKUP_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
150 CUM_EX_INDICATOR SCUEX SCUEX NUMC 1   0   Cum/ex indicator  
151 NUMBER_OF_WARRANTS BOPHE NUM03 NUMC 3   0   Number of warrants per nominal value  
152 UNDERLYING2 VVRANLW WP_RANL CHAR 13   0   Security ID Number *
153 FELLOW_PARTNER JABMI JANEI CHAR 1   0   Joint partner vote indicator  
154 STOCK_CATEGORY SAKAR SAKAR NUMC 1   0   Stock category  
155 STOCK_FORM SVBRE SVBRE NUMC 1   0   Stock form indicator  
156 SHAREHOLDING_TYPE SARTBET SARTBET NUMC 2   0   Type of shareholding *
157 SHAREHOLDING_STRUCT SKONBET SKONBET NUMC 2   0   Details about structure of shareholding *
158 SHARES_OUTSTANDING AAAAKTIE DEC12 DEC 12   0   Number of stocks issued  
159 BALANCE_DATE DREST DATUM DATS 8   0   Balance payment date  
160 DIVIDEND_RIGHTS PDIVBER DEC3_7 DEC 10   7   Dividend rights per unit in percentage terms  
161 ENTITLED_FROM DDBAB DATUM DATS 8   0   Date from which entitled to dividends  
162 EXCHANGE_FROM DTFVO DATUM DATS 8   0   Swap period from  
163 EXCHANGE_TO DTFBI DATUM DATS 8   0   Swap period to  
164 EXCHANGE_NUMERATOR BTVZA DEC5_4 DEC 9   4   Swap ratio - numerator  
165 EXCHANGE_DENOMINATOR BTVNE DEC5_4 DEC 9   4   Swap ratio - denominator  
166 CLEARING_AMOUNT BAPI_BABTA BAPICURR DEC 23   4   Clearing amount for swap  
167 CLEARING_CURRENCY SWHRAUSG WAERS CUKY 5   0   Clearing amount currency TCURC
168 CLEARING_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
169 TRADING_UNTIL DTGBI DATUM DATS 8   0   Trading until  
170 CONDITION_VALID_FROM DGUEL DATUM DATS 8   0   Date Condition Effective from  
171 FUND_TYPE SFOTY SFOTY NUMC 1   0   Fund type indicator TW21
172 FUND_CATEGORY VVSFOART VVSFOART CHAR 2   0   Fund category indicator  
173 FUND_VOLUME BAPI_BFONVOL BAPICURR DEC 23   4   Fund volume  
174 PUBLIC_FUND SOEFF JANEI CHAR 1   0   Public fund indicator  
175 ISSUE_PREMIUM PAUSG DEC3_7 DEC 10   7   Issue premium in percentage  
176 FOREIGN_INVESTMENT_LAW SAING JANEI CHAR 1   0   Foreign Investment Law indicator  
177 ACCUMULATION STHES JANEI CHAR 1   0   Reinvestment indicator  
178 REINVESTMENT_DISCOUNT PWARB DEC3_7 DEC 10   7   Reinvestment discount percent  
179 COUPON_NUMBER RDIVNR NUM03 NUMC 3   0   Dividend coupon number  
180 FACTORY_CALENDAR SKALID WFCID CHAR 2   0   Factory calendar *
181 OPT_FUT_CATEGORY TI_SOFTYP T_SOFTYP NUMC 2   0   Options/futures category  
182 OPT_FUT_QUOTATION TI_NOTTYPE T_NOTTYPE CHAR 1   0   Quotation type option/future  
183 MARGIN_TYPE TB_MARGART T_MARGART CHAR 5   0   Margin type *
184 TICK_IN_PERCENT TI_PPTICK DECV3_7 DEC 10   7   Tick in percentage points  
185 TICK_AMOUNT BAPI_TI_BETICK BAPICURR DEC 23   4   Tick as amount  
186 TICK_IN_POINTS TI_PITICK T_PKTKUR DEC 11   6   Tick in index points  
187 TICK_VALUE BAPI_TI_BWTICK BAPICURR DEC 23   4   Tick value  
188 TICK_CURRENCY TI_WWTICK WAERS CUKY 5   0   Tick Value Currency *
189 TICK_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
190 LAST_TRADING_DAY TI_DLHAND DATUM DATS 8   0   Last trade date  
191 SETTLEMENT_DAY TI_DERFUE DATUM DATS 8   0   Settlement date  
192 EXPIRY_DATE TI_DVERF DATUM DATS 8   0   Expiration date  
193 INDEX_POINT_VALUE BAPI_TI_BPINDEX BAPICURR DEC 23   4   Value of an index point  
194 INDEX_P_CURRENCY TI_WPINDEX WAERS CUKY 5   0   Index point currency *
195 INDEX_P_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
196 SETTLEMENT_METHOD TI_SABRMET T_SABRMET CHAR 1   0   Settlement Method Option  
197 PUT_CALL_INDICATOR TI_SPUTCAL T_SPUTCAL NUMC 1   0   Put/call indicator  
198 SETTLEMENT_OPT TI_SETTLFL T_SETTLFL CHAR 1   0   Settlement indicator  
199 EXERCISE_TYPE_OPT SOPTAUS SOPTAUS NUMC 1   0   Exercise Type (American or European)  
200 NUMBER_OF_UNITS ASTUECK ASTUECK DEC 15   5   Number of units for unit-quoted securities  
201 SECURITY_REFERENCE WP_RANL WP_RANL CHAR 13   0   Security ID number VWPANLA
202 STRIKE_AMOUNT BAPI_TI_BSTRIKE BAPICURR DEC 23   4   Strike as amount  
203 STRIKE_CURRENCY TI_WSTRIKE WAERS CUKY 5   0   Strike Currency TCURC
204 STRIKE_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
205 STRIKE_IN_PERCENT TI_IPSTRIK DECV3_7 DEC 10   7   Strike as inverted percentage notation  
206 STRIKE_IN_POINTS TI_PKSTRIK DEC5_4 DEC 9   4   Strike in points  
207 NOMINAL_VALUE_F BAPI_BNOMS BAPICURR DEC 23   4   Nominal value  
208 NOMINAL_CURRENCY RNWHR WAERS CUKY 5   0   Nominal currency TCURC
209 NOMINAL_CURRENCY_ISO ISOCD ISOCD CHAR 3   0   ISO currency code  
210 INTEREST_CALC_F SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
211 FINAL_DUE_DATE_F DENDF DATUM DATS 8   0   Final due date  
212 RATING BP_RATING BP_RATING CHAR 3   0   Rating *
213 INSTITUTE BP_SOL_INS BP_SOL_INS CHAR 4   0   Institute Providing Credit Standing Information *
214 PRICE_INDEX TIDX_INDEX_NAME TIDX_INDEX_NAME CHAR 15   0   Name of Price Index *
215 SET_NAME RDPT_SET_NAME RDPT_SET_NAME CHAR 15   0   Redemption Schedule Set *
216 SMOVERW SMOVERW SMOVERW CHAR 2   0   Possible custody type *
217 SDEPOSTAT VVDEPOSTAT VVDEPOSTA NUMC 2   0   Securities account statistics key *
218 SWPHGMPF VVSWPHGMPF JANEI CHAR 1   0   Securities trading law reporting obligation indicator  
219 FUNDED SEC_FUNDED ATXF1 CHAR 1   0   Indicator: Funded  
220 BPEXT BU_BPEXT CHAR20 CHAR 20   0   Business Partner Number in External System  
221 PRODUCT_CATEGORY SANLF VVSANLF NUMC 3   0   Product Category *
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 JBIUCDFP CALENDAR TFACD IDENT    
2 JBIUCDFP CATEGORY TZAF SANLF    
3 JBIUCDFP CLEARING_CURRENCY TCURC WAERS    
4 JBIUCDFP CURRENCY_MARKUP TCURC WAERS    
5 JBIUCDFP FORMULAR_REF AT30 RFORMBEZ    
6 JBIUCDFP FORMULAR_REFERENCE AT30 RFORMBEZ    
7 JBIUCDFP FUND_TYPE TW21 SFOTY    
8 JBIUCDFP INDEX_CURRENCY TCURC WAERS    
9 JBIUCDFP INDEX_NUMBER TWX1 VVRANLWI    
10 JBIUCDFP LISTING_KEY TW53 SBOEN    
11 JBIUCDFP NOMINAL_CURRENCY TCURC WAERS    
12 JBIUCDFP SECURITY_REFERENCE VWPANLA RANL    
13 JBIUCDFP SETTLEMENTPAYMENT_CURRENCY TCURC WAERS    
14 JBIUCDFP STOCK_EXCHANGE TWH01 RHANDPL    
15 JBIUCDFP STRIKE_CURRENCY TCURC WAERS    
16 JBIUCDFP TYPE TWRF SARTBEZ    
History
Last changed by/on SAP  20130529 
SAP Release Created in 463_20